Content
2021, Volume 14, Issue 2
- 188-195 Actual participation: the effects of information sharing and familiarity team on budget decision quality
by Apriwandi & R.A. Supriyono
2021, Volume 14, Issue 1
- 3-22 Revenue efficiency: a distributional analysis in the European banking
by Kristína Kočišová & Peter Šugerek - 23-34 Assessment of selected aspects of financial stability of the Czech banks
by Iveta Palečková & Pavla Klepková Vodová - 35-53 The impacts of monetary policy of the Czech National Bank on selected economic indicators
by Liběna Černohorská - 54-68 BVAR models in short-term prediction of modern central banks: empirical evidence of the euro area
by Aleksandra Nocoń - 69-90 The relationship of liquid money and selected price indices in the USA
by Jan Černohorský - 91-104 Role of deposit insurance schemes on financial markets
by Magdalena Kozińska
2020, Volume 13, Issue 5
- 429-445 Explaining the stock-stock, bond-bond and stock-bond correlation across countries
by David G. McMillan - 446-470 The effect of diversification on bank performance in dual banking system
by Fazelina Sahul Hamid - 471-484 The impact of monetary policy on overall and sectoral economic growth: evidence from Tunisian central bank in crisis periods
by Guenichi Hassen & Khalfaoui Hamdi - 485-501 Dividend policy and the bank-firm relationship: evidence from Tunisian context
by Khaoula Aliani & Lama Al-Kayed & Marwa Gouasmia - 502-512 Abuses based on the deficit of information in financial markets: the case of presenting the interest rate in basic financial offers
by Bożena Frączek
2020, Volume 13, Issue 4
- 317-340 Risk governance and bank performance in Sub Saharan Africa: dynamic panel evidence
by Adamu Yahaya & Fauziah Mahat & B.T. Matemilola - 341-361 Audit committee member characteristics and committee effectiveness: evidence from Turkish banking sector
by Yaman Erzurumlu & Gurcan Avci - 362-382 Debt and profitability: evidence from Bangladesh
by Mumtahina Islam & G.M. Wali Ullah - 383-416 Expansionary monetary policy and bank lending: the case of new Euro Area member states
by Boris Fisera & Jana Kotlebova - 417-427 Flexible and standard fiscal rules in context of stability of public finances
by Agnieszka Przybylska-Mazur
2020, Volume 13, Issue 3
- 179-188 Profit-shifting through Panama Papers destinations: a case study for the Czech Republic
by Veronika Solilová & Danuše Nerudová & Marek Litzman & Marian Dobranschi - 189-197 Equity markets and investment patterns: the network perspective
by Muhammad Mohsin Hakeem - 198-205 Cultural distance and Thailand's foreign direct investment attractiveness
by Piyaphan Changwatchai & Siwapong Dheera-aumpon - 206-214 Transformation of labour relations in the context of global economic and social risks
by Alena Fedorova & Zuzana Dvorakova & Olga Koropets - 215-234 Static or adaptive? the month-of-the-year and intra-month effects in African stock markets
by Adefemi A. Obalade & Paul-Francois Muzindutsi - 235-243 Financial reporting quality: the case of Czech and German listed companies
by Patrik Svoboda & Barbora Poskočilová & Hana Bohušová - 244-252 Do managements tell us the whole truth and nothing but the truth? Impact of textual sentiment in financial disclosure to future firm performance and market response in Thailand
by Siriyos Chuthanondha - 253-259 Can an integrated reporting system in Thai context create sustainable value to users?
by Neungruthai Petcharat - 260-268 Achieving earnings target through real activities manipulation: lesson from stock exchange of Thailand
by Karoon Suksonghong & Azlan Amran - 269-278 Corporate governance and voluntary disclosures: a story about corporate transparency from Indonesia
by Fitra Roman Cahaya & Gunadi Yoga - 279-286 The effect of three types of agency problems on the firm performance: evidence from Indonesia
by Ni Luh Gde Lydia Kusumadewi & Ratna Wardhani - 287-295 Socio-economic, information and communication technology, and banking performance for financial inclusion index in Indonesia
by Sylviana Maya Damayanti & Ditasa Madira & Raden Aswin Rahadi & Arinda Mentari Putri - 296-305 Media promotion, Islamic religiosity and Muslim community perception towards charitable giving of cash waqf
by Vika A. Qurrata & Linda Seprillina & Bagus S. Narmaditya & Nor Ermawati Hussain - 306-316 Effects of innovation factors on SME performance: study on SMEs in food and beverages centers in Cimahi, Indonesia
by Ratna Meisa Dai & Sam'un Jaja Raharja
2020, Volume 13, Issue 2
- 89-110 Analysing the impact of corporate stock buybacks in China and the US equity markets
by Haochen Guo - 111-129 Stock liquidity and capital structure: evidence from Saudi listed firms
by Yomna Abdulla & Rabab Ebrahim - 130-145 Dynamics of inflation and inflation uncertainty in Pakistan
by Kashif Munir & Nimra Riaz - 146-162 Impact of repatriation taxes and earned/contributed capital mix on dividend repatriation policy: the moderating role of firm financial maturity
by Muhammad Tahir & Haslindar Ibrahim & Abdul Hadi Zulkafli & Muhammad Mushtaq - 163-176 Are there differences in the use of debt capital in enterprises of different size?
by Petra Růčková & Daniel Stavárek
2020, Volume 13, Issue 1
- 1-15 Stock returns indicator: case of Tadawul
by Issam Tlemsani - 16-33 The aftermaths of acquisition in Indonesia
by Muhammad Syukur & Dej-anan Bungkilo - 34-67 Internal and external determinants of listed commercial banks' profitability in India: dynamic GMM approach
by Eissa A. Al-Homaidi & Faozi A. Almaqtari & Ali T. Yahya & Amgad S.D. Khaled - 68-88 Interpreting survey-based federal funds rate forecasts: how accurate are they in reflecting market expectations?
by Max Kwong & David Leung & Alfred Wong & Jiayue Zhang
2019, Volume 12, Issue 5
- 343-360 Analysis of the demand for the alternative currency WIR
by Katerina Gawthorpe - 361-389 Unconventional monetary policy in US: empirical evidence from estimated shadow rate DSGE model
by Rui Wang - 390-406 The risk-return trade-off of liquidity positions: evidence from Vietnamese banking system
by Van Dan Dang - 407-425 Modelling and forecasting long memory time series with exponential and switching GARCH models
by Esmail Amiri - 426-444 Demonetisation upshot on the volatility and returns of banking sector stocks of national stock exchange
by Jincy K. John & R. Amudha & M. Muthukamu
2019, Volume 12, Issue 4
- 249-273 The information set of the Fed's policy reaction function
by Nikiforos T. Laopodis - 274-289 Do credit default swaps affect the time-varying cointegration between PIIGS's sovereign interest rates?
by José Soares Da Fonseca - 290-308 Value relevance of book values and earnings of listed non-financial firms in South Africa: a dynamic panel analysis
by Atanas Sixpence & Olufemi Patrick Adeyeye - 309-324 A partial two sector banking model with interest on reserves
by Shawn Osell - 325-342 Corporate social responsibility effect on firm's financial performance in Jordan
by Fouzan Al Qaisi
2019, Volume 12, Issue 3
- 169-179 Banks' financial innovation and the demand on money
by Ala' Bashayreh & Mohammad W. Alomari & Samer Abdelhadi & Naderh Mryan - 180-195 On the drivers of inflation in Iraq
by Hatem Hatef Abdulkadhim Altaee & Sazan Taher Saeed - 196-211 The signalling cost of hiring a large auditor: evidence from the fee differential between large and small auditors
by Michael K. Fung & Louis T.W. Cheng & Tak-yan Leung - 212-232 China's reserve requirements and their effects on economic output and assets markets during 2008-2018
by Kerry Liu - 233-247 Asymmetric dynamics of insurance premium: the impact of monetary policy uncertainty on insurance premiums in Japan
by Mehmet Balcilar & Godwin Oluseye Olasehinde-Williams & Muhammad Shahbaz
2019, Volume 12, Issue 2
- 75-97 Cryptocurrencies, Fiat money or gold standard: an empirical evidence from volatility structure analysis using news impact curve
by Anwar Hasan Abdullah Othman & Syed Musa Alhabshi & Razali Haron - 98-117 An ARDL and cointegration approach for analysing determinants of foreign portfolio investors' in India
by Parul Kumar & R.K. Sharma & Sunil Kumar - 118-132 Does the US economy face a long run trade off between inflation and unemployment?
by Jamil Sayeed & Md. Deen Islam & Shanjida Yasmin - 133-151 Diversification and cash holdings: comparison between Indonesia and the Netherlands firms
by I. Made Sudana & Fahima Budi Imaniar & Nugroho Sasikirono & Sanju Kumar Singh - 152-168 Analysis of structural linkages and inter-temporal stability in a cross-country BRICS portfolio
by Harman Arora & Parminder Kaur
2019, Volume 12, Issue 1
- 3-14 US monetary policy surprises transmission to European stock markets
by Tarek Chebbi & Abdelkader Derbali - 15-24 Macroeconomic determinants of credit risk: a P-VAR approach evidence from Europe
by Ahlem-Selma Messai & Mohamed Imen Gallali - 25-38 The effect of sustainability assurance demand on information asymmetry: evidence from French companies
by Yosra Mnif Sellami & Nada Damak Ben Hlima - 39-58 Dynamic analysis of implied risk neutral density
by Abderrahmen Aloulou & Younes Boujelbene - 59-74 FDPM after the global price crisis in the coal industry
by Ni Nyoman Sawitri
2018, Volume 11, Issue 6
- 525-542 The impact of commercial banking development on economic growth: a principal component analysis of association between banking industry and economic growth in Eastern Europe
by Shahdad Naghshpour & Hugh L. Davis III - 543-566 How does momentum exist? The case of the Indonesian stock market
by Sudarso Kaderi Wiryono & Sinta Aryani & Mandra Lazuardi Kitri & Umi Kulsum - 567-617 An estimated DSGE model with search and matching frictions in the credit market
by Danilo Liberati
2018, Volume 11, Issue 5
- 416-435 Central bank communication and transparency: the ECB and the European Parliament
by Ansgar Belke - 436-479 The magnitude of the macroeconomic impact of oil price: the case of BRICS
by Salma Ben-Lalouna & Joseph Pearlman - 480-498 Unconventional monetary policies and the credit market
by Jose Olmo & Marcos Sanso-Navarro - 499-515 On the effect of Cournot and Stackelberg competition in the banking sector on the investment cycle
by Eleni Dalla - 516-523 Can countries lobby for foreign direct investment? Evidence from the US
by Gabriel V. Montes-Rojas
2018, Volume 11, Issue 4
- 317-326 Reexamine performance of foreign banks in Indonesia
by Irwan Trinugroho & Sylviana Maya Damayanti & Sudarso Kaderi Wiryono & Mochammad Doddy Ariefianto - 327-344 Systemically important financial institutions (SIFI) in Indonesian banking system
by Zaafri Ananto Husodo & Daniel Wojtyla - 345-353 Culture and corruption in bank lending revisited
by Siwapong Dheera-aumpon - 354-362 Bank's middle office analytics, risk modelling and comparative Basel regimes
by Shahid Waseem Anjum - 363-383 Price efficiency on Islamic banks vs. conventional banks in Bahrain, UAE, Kuwait, Oman, Qatar and Saudi Arabia: impact of country governance
by Fakarudin Kamarudin & Fadzlan Sufian & Annuar Md. Nassir & Nazratul Aina Mohamad Anwar & Nur Ainna Ramli & Khar Mang Tan & Hafezali Iqbal Hussain - 384-393 Random walk and structural break in exchange rates
by Kenneth A. Tah - 394-410 Phenomena and determinants of underpricing, flipping activity and long term performance: an empirical investigation of sharia IPO in Indonesia
by Ahmad Rodoni & Ade Sofyan Mulazid & Rama Febriyanti
2018, Volume 11, Issue 3
- 179-191 Factors affecting internal audit function effectivity (internal auditor competence and objectivity, management support and organisation culture) at local government
by Rindu Rika Gamayuni - 192-204 The attitude towards the new rice direct-seeding device
by Dumrongdej Pramitithanakan & Supawan Tantayanon & Kanit Wattanavichien & Laddawan Kunnoot - 205-214 Econometric analysis of real exchange rate shocks and real growth of the tourism sector in South Africa
by Paul-Francois Muzindutsi & Jean Claude Manaliyo - 215-223 The impact of financial and trade integration on business cycles in emerging markets
by Lathaporn Ratanavararak - 224-234 Financial development and the lending channel of monetary policy transmission: evidence from Thailand
by Attasuda Lerskullawat - 235-242 Does market capitalisation matters? Tests of weak-form efficient market hypothesis for Thai stock market
by Ramede Sodsai & Karoon Suksonghong - 243-250 Asset allocation strategy to create superior portfolio from equity mutual funds
by Sylviana Maya Damayanti & Isrochmani Murtaqi & Rudy Bekti & Anggoro Budi Nugroho - 251-259 Capital structure active adjustment of Indonesian state-owned enterprises (SOEs)
by Subiakto Soekarno & Edo Prayogo - 260-270 The impact of board ethnic diversity on firm performance: evidence from public listed firms in Malaysia
by Shu Fen Chuah & Chee-Wooi Hooy - 271-279 Strategic challenge in the management of the regional water company: study in West Java Indonesia
by Sam'un Jaja Raharja - 280-288 Supply-side pay determinants in the Malaysian manufacturing sector
by Normala Zulkifli & Shahrun Nizam Abdul-Aziz - 289-297 Creating economic value through multi-stakeholder partnership (case study on the black soybean farmers development programme of Unilever Indonesia)
by Kartika Dewi Sri Susilowati - 298-306 Analysis of transformational leadership effect towards organisational citizenship behaviour mediated by organisational commitment in the heritage hotel
by Noermijati & Misbahuddin Azzuhri - 307-315 Generic drug in Indonesia: why physicians and pharmacists matters
by Amelia Amelia & Ronald Ronald
2018, Volume 11, Issue 2
- 95-109 Re-examination of an improved Euro index under different market conditions
by Musa Essayyad & Omar Al-Titi - 110-125 Sovereign credit default swap and bond markets' dynamics: evidence from the European debt crisis
by Ioannis A. Tampakoudis & Demetres N. Subeniotis & Ioannis G. Kroustalis - 126-139 Regional banks and market power: evidence from Indonesia
by Irwan Trinugroho & Sutaryo & Sylviana Maya Damayanti & Sudarso Kaderi Wiryono & Linggar Ikhsan Nugroho - 140-162 Unconventional monetary policy expansion: the economic impact through a dynamic CGE model
by Claudio Socci & Francesca Severini & Rosita Pretaroli & Irfan Ahmed & Clio Ciaschini - 163-176 A hybrid Phillips curve and consumer confidence: the case of Brazil
by Thiago Henrique Carneiro Rios Lopes & Cleiton Silva De Jesus & Miguel Angel Rivera-Castro
2018, Volume 11, Issue 1
- 3-19 Interest rate development as an indicator of credit market integration
by Jan Černohorský - 20-35 Effect of macroeconomic determinants on non-performing loans in Central and Eastern European countries
by Irena Szarowska - 36-55 The evaluation of banking stability in the European Union countries
by Kristína Kočišová & Daniel Stavárek - 56-75 SVAR description of ECB monetary policy effects via banking sector in individual EA countries: case of Slovenia
by Maria Siranova & Jana Kotlebova - 76-94 Conventional and unconventional balance sheet practices and their impact on currency stability
by Gábor Dávid Kiss & Enikő Balog
2017, Volume 10, Issue 3/4
- 227-234 A study on analysis of the determinants of capital structure with special focus on automobile sector of India
by Gurmeet Singh - 235-249 Debt or equity? Optimal capital structure in Indonesia's construction sector companies listed in Indonesia stock exchange (IDX)
by Mautia Kusuma Wardani & Sylviana Maya Damayanti - 250-256 Predicting the financial distress of Indonesian manufacturing companies: an application of the multinomial logit model
by Jaja Suteja & Ardi Gunardi & R. Avianty Octavia - 257-269 The influence of accounting education on the prospects of becoming a member of the chartered accountant profession: opportunities, challenges and expectations of Indonesia towards the ASEAN economic community
by Khomsiyah & Lindrianasari - 270-280 The effect of corporate governance's application on banks' performance: empirical study of banks listed on the Indonesian Stock Exchange
by Irma & Olivia Idrus - 281-294 Implementation of corporate governance and mandatory disclosure in the Indonesian banking sector: good news or bad news
by Zaidirina & Lindrianasari & Satria Bangsawan - 295-308 An analysis on financial and social performance of Islamic banks in Indonesia
by Hasan Mukhibad & Kiswanto & Prabowo Yudho Jayanto - 309-321 Market timing and stock selection performance of mutual fund in bull and bear market condition
by V. Santi Paramita & Bahri Jafar & Ifan Wicaksana Siregar - 322-340 Ownership structures and productivity in Indonesia and Malaysia
by Citra Sukmadilaga & M. Shamsher & Taufiq Hassan - 341-352 Safe harbours for intra-group loans in Eurozone: experience from selected countries
by Veronika Solilová & Danuše Nerudová - 353-365 Analysis of short- and long-run interactions between real exchange rate and private domestic investment in South Africa
by Magdeline M. Maepa & Paul-Francois Muzindutsi - 366-378 Labour mobility in the European Union: What can ASEAN learn?
by Usanee Aimsiranun - 379-403 Does inflation targeting lower inflation? If yes, then when?
by Amr Sadek Hosny - 404-425 The effects of interest rates, stock prices and trading day to the duration of daily exchange rate pattern: using survival analysis
by Seo-Hyeong Lee & Ki-Dong Lee & Yoon Chul Kim
2017, Volume 10, Issue 2
- 111-143 The determinants of credit and insolvency risk of European commercial banks: a dynamic panel data analysis
by Wiem Ben Jabra & Zouheir Mighri & Faysal Mansouri - 144-182 Tax and monetary policy rules in a small open economy with disaggregated government purchases
by Boniface Pepino Yemba - 183-205 Does the FED care about income inequality? A quantitative examination
by Stuart J. Fowler & Jennifer J. Fowler - 206-223 Oil price, macroeconomic environment and stock market performance in an oil-exporting country: evidence from Nigeria
by Chinazaekpere Nwani & Chijioke Okogbue
2017, Volume 10, Issue 1
- 1-23 GCC monetary union and the transmission of business cycles: evidence from temporal correlations
by Imed Medhioub & Lotfi Ben Jedidia - 24-46 CEO emotional intelligence and firm dividend policy: decision tree analysis
by Mohamed Ali Azouzi & Anis Jarboui - 47-67 Emphasis and effectiveness of monetary policy of the Fed: a historical comparative analysis (1871-2013)
by Ling T. He - 68-95 Spatial agglomeration in a monetary multi-regional growth model with urban residential distribution
by Wei-Bin Zhang - 96-109 Financial deepening and stock market returns: panel data analyses for selected developed and developing economies
by Matiur Rahman & Muhammad Mustafa
2016, Volume 9, Issue 4
- 319-329 The reaction of the Japanese REIT market to stock prices and interest rates: a comparison of the periods before and after Abenomics
by Takayasu Ito - 330-352 Bayesian estimation of a new Keynesian policy model for a small open economy
by Bechir Bouzid - 353-362 Competition law and the Malaysian financial services market: an analysis of the structure and level of competition in the market
by Nasarudin Abdul Rahman & Mohd Hasbullah Mohamad Faudzi & Haniff Ahamat & Zuhairah Ariff Abd Ghadas - 363-378 Study on empirical characteristic of rural bank sustainability in Indonesia
by Muljanto Moechdi & Munawar Ismail & Candra Fajri Ananda & Ahmad Erani Yustika - 379-387 The implication of firm-specific characteristics on disclosure: the case of Indonesia
by Ardi Gunardi & Erie Febrian & Aldrin Herwany - 388-400 Capital structure determinants and the speed of adjustment towards capital structure target: evidence from Indonesian state-owned enterprises
by Subiakto Soekarno & Mandra Lazuardi Kitri & Suryo Utomo - 401-416 The South African monetary policy and inflation targeting as a nominal anchor: Does the monetary policy become more effective?
by Mohammed Umar & Jauhari Dahalan & Mukhriz Izraf Azman Aziz
2016, Volume 9, Issue 3
- 225-244 Volatility spillovers between exchange rates and Indian stock markets in the post-recession period: an APARCH approach
by Bhaskar Bagchi - 245-266 Euro area stock markets performance comparison and its dependence on macroeconomic variables
by José Soares Da Fonseca - 267-293 The stability of learning prior to an anticipated change in the target inflation rate
by Bartholomew Moore - 294-316 Is the relationship between macroeconomy and stock market liquidity mutually reinforcing? Evidence from an emerging market
by Ijaz Ur Rehman & Nurul Shahnaz Mahdzan & Rozaimah Zainudin
2016, Volume 9, Issue 2
- 102-114 The behaviour of sovereign CDS and government bond in the Euro zone crisis
by Takayasu Ito - 115-131 Fragility and contagion within European Union's banking system: the network prospective
by Muhammad Mohsin Hakeem & Ken-ichi Suzuki - 132-148 Financial contagion in interbank network
by Dengbao Yao & Xiaoxing Liu & Xu Zhang - 149-163 Creating contestable banking market: the effect of changes in the regulatory structure in Indonesia
by Tri Mulyaningsih & Anne Daly & Riyana Miranti - 164-186 International trade financing: a comparative study on the performance of state-owned and private commercial banks of Bangladesh
by Hazera Akter & Suborna Barua - 187-197 Evaluating gender responsive budgeting in Turkey
by Cevat Tosun & Necmiddin Bağdadioğlu - 198-211 Good government governance and opinions of the audit board of Republik Indonesia
by Aminah & Lindrianasari & Rosmiaty - 212-223 The role of money multiplier in monetary transmission mechanism in Iran (bank lending and money supply)
by Jafar Haghighat & Tanaz Salahesh
2016, Volume 9, Issue 1
- 1-24 Dynamic relations of the inertia of monetary policy: application to the Brazilian case by a Kalman approach
by Manuel Joaquim Da Natividade Silva & Gutemberg Hespanha Brasil & Ricardo Ramalhete Moreira - 25-44 Inflation persistence: revisited
by Edward N. Gamber & Jeffrey P. Liebner & Julie K. Smith - 45-66 Volatility of stock market and exchange rate returns in Peru: Long memory or short memory with level shifts?
by Andrés Herrera Aramburú & Gabriel Rodríguez - 67-89 Liquidity, liquidity risk and stock returns: evidence from Vietnam
by Xuan Vinh Vo & Hong Thu Bui - 90-99 Beating the market: Can evolutionary-based portfolio optimisation outperform the Talmudic diversification strategy?
by Safwan Mohd Nor & Sardar M.N. Islam
2015, Volume 8, Issue 4
- 332-344 Analysis of customer mindset change and accounting practice of garbage bank as medium of edupreneurship
by Anna Purwaningsih - 345-359 Effect of auditor and client negotiation experience on audit results: an experimental test
by Leliana Maria Angela & Fitria Husnatarina - 360-384 The impact of financial inclusion on monetary policy effectiveness: the case of Malawi
by Angella Faith Lapukeni - 385-397 Corporate governance perception index, performance and value of the firm in Indonesia
by Zaidirina & Lindrianasari - 398-421 A global game analysis of the LLR: the role of creditors' behaviour and penalty rate lending
by Junnosuke Shino
2015, Volume 8, Issue 3
- 229-241 On the existence of loss function for some useful classes of central bankers
by Marcelo de Carvalho Griebeler - 242-264 Determinants of bank customers' demand for liquidity: the effect of bank capital and customers' characteristics
by Cláudia D. Bernardo & Sérgio C. Lagoa & Emanuel R. Leão - 265-273 Credit for equity investment and stock market volatility: evidence of variance causality
by Ibrahim A. Onour - 274-281 Determinants of the CNY/USD exchange rate: a simultaneous-equation model
by Yu Hsing - 282-301 Exchange rate pass-through to domestic prices in Tunisia: a short- and long-run analysis
by Kamel Helali & Maha Kalai - 302-317 Features of Korean SMEs exchange exposure
by Sunghee Choi & Woohyung Lee - 318-329 A maximum likelihood estimator for information precision in the financial market
by George Li
2015, Volume 8, Issue 2
- 111-125 The effect of earnings management with special item to investment decision: empirical study at manufacture firm listed in Indonesia Stock Exchange 2008-2010
by S. Rahmawati & Sri Wahyu Agustiningsih & Erna Setiany - 126-142 An empirical examination of the role of the remuneration committee in the relationship between board of directors and remuneration
by Syaiful Baharee Jaafar & Mohd Mohid Rahmat & Kieran James - 143-161 The impact of corporate governance on corporate social disclosure: comparative study in South East Asia
by Edy Supriyono & Abdul Kharis Almasyhari & Djoko Suhardjanto & S. Rahmawati - 162-177 Intellectual capital disclosure, corporate governance structure and firm value in Indonesian banking industry
by Lia Uzliawati & Kartika Djati - 178-190 Can shareholder rights protection reduce corruption in lending?
by Siwapong Dheera-aumpon - 191-201 Large shareholders' relationship, active shareholder and supervision
by Tingli Liu & Qianqian Shi - 202-212 Market reaction on income smoothing in the Indonesian manufacturing industry
by Iwan Setiadi & S. Purnamasari & Erna Setiany - 213-227 The effect of audit committee quality and internal auditor objectivity on the prevention of fraudulent financial reporting and the impact on financial reporting quality (a survey on state-owned company in Indonesia)
by Angrita Denziana
2015, Volume 8, Issue 1
- 4-19 Does news on the euro area impact the sovereign yield spreads?
by Houssam Bouzgarrou & Tarek Chebbi - 20-33 Information flow between derivatives and spot market; the reason of studies results divergence
by Abderrahmen Aloulou & Younes Boujelbene - 34-48 Does inflation targeting decrease the primary budget deficit in emerging markets? An empirical evidence
by Mohamed Kadria & Mohamed Safouane Ben Aissa - 49-70 The impact of extreme values on the assessment of financial assets
by Sihem Mansour & Slaheddine Hellara - 71-84 Do macroeconomic factors matter for stock returns? Evidence from the European automotive industry
by Rim M. El Khoury - 85-108 Post-privatisation ownership structure and firm performance: what is the matter?
by Mouna Mrad
2014, Volume 7, Issue 4
- 249-265 Bank debt and financial flexibility
by Nont Dhiensiri & Xiaohong (Sara) Wang - 266-287 A comparison of the dynamics of inflation in the USA and Japan: a VAR-VEC analysis
by Livia Fraccalvieri & Mattia Rosada & Emiliano Sironi - 288-301 Comparing the measures of core inflation in India: trimmed mean and structural vector auto-regression approach
by Arundhati Mallick & Narayan Sethi - 302-327 Evaluating quantitative easing: a DSGE approach
by Matteo Falagiarda - 328-346 Post-acquisition performance of European cross-border bank M%As
by Evangelos Drymbetas & George Kyriazopoulos
2014, Volume 7, Issue 3
- 157-174 Monetary policy and oil price fluctuations following the subprime mortgage crisis
by Naoyuki Yoshino & Farhad Taghizadeh-Hesary - 175-191 Non-linear effects in the Croatian inflation-generating process
by Ivana Lolić & Petar Sorić - 192-206 Asymmetric effects of monetary policy on an emerging stock market
by Guowen Han & Yongjin Wu & Warren Young - 207-228 Real exchange rate misalignment and economic growth: empirical evidence from Sudan
by Alamedin A. Bannaga & Ahmed A.A. Badawi - 229-247 Market power vs. financial stability: evidence from the MENA region's Islamic and conventional banking industries
by Louati Salma & Boujelbene Younes
2014, Volume 7, Issue 2
- 81-106 Does the policy trilemma still hold? Fresh evidence and its implications
by Amit Ghosh - 107-121 Sign asymmetry and exchange rate market volatility: empirical evidence from two developing countries
by Kwame Osei-Assibey - 122-134 Central bank independence and the price-output-variability trade-off
by Mats Landström - 135-156 Selection of the right risk measures for portfolio allocation
by Thanh Nguyen
2014, Volume 7, Issue 1
- 1-12 Analysing monetary policy's transmission mechanisms through effective and expected interest rates: an application of MS-models, Bayesian VAR and cointegration approaches for Brazil
by Ricardo Ramalhete Moreira & Chukiat Chaiboonsri & Prasert Chaitip - 13-27 Interaction among stock prices and monetary variables in Pakistan
by Ghulam Abbas & David G. McMillan - 28-39 Yield curve changes effect on Euro area bond indexes: a partial durations approach
by José Soares Da Fonseca - 40-65 Financial liberalisation, financial development and productivity growth: an overview
by Agnieszka Gehringer - 66-80 The effects of public debt on capital formation in India: evidence from structural VAR analysis
by Debi Prasad Bal
2013, Volume 6, Issue 4
- 271-284 Are frontier stock markets more inefficient than emerging stock markets?
by Prakash L. Dheeriya & Erdost Torun - 285-301 The influence of global financial crisis on Jordanian equity market: VECM approach
by Hussain Ali Bekhet & Ali Matar