Content
January 2026, Volume 17, Issue 1
- 1-14 The Objective-Centric Anchor: Integrating Enterprise Risk Intelligence With Mission Critical Objectives
by Shaharin Abdul Samad - 15-26 Bridging the Financial Divide: The Role of AI in Promoting Inclusion Among Underserved Populations
by Hoje Jo & Bihui Deng & Emily Grossman & Suyog Ingle & Maitreyee Mittal - 27-36 Operational Efficiency and Liquidity Within Hurricane Prone Hospitals in the United States: A Regional Study
by George Audi & Hanadi Hamadi & Margaret Capen & Rima Tawk - 37-45 Wage-Price-Spiral or Price-Wage-Spiral? Evidence From Two Behavioral Experiments and Conclusions for the Central Bank
by Christian A. Conrad - 46-54 Service Quality and Customer Retention in Indian Private Sector Banks: An Empirical Study
by Prabhakaran Jagadeesan & Vijayalakshmi Karunakaran
October 2025, Volume 16, Issue 3
- 1-9 Determinants of an Effective Anti-Bribery and Anti-Corruption (ABAC) Culture in Malaysian Public Listed Companies: A Conceptual-Based Framework
by Shaharin Abdul Samad - 10-30 The Impact of Financial Development on Human Well-Being in Sub-Saharan Africa: Does Institutional Quality Matter?
by PRAO Yao Seraphin & Taky Ange Carelle - 31-62 Optimal Leverage of Commercial Real Estate Investments: A Trade Off Option Theoretic Approach
by Angela C. De Luna Lopez & Walter L. De Luna Butz & Luis Moreno Salas - 63-73 Strengthening ERM Independence: A Conceptual Governance and Oversight Framework
by Shaharin Abdul Samad - 74-94 Emotional Reactions of Students to Perceptions of Negative Trends and Small Losses in Short-Term Stock Market Simulation
by Alain Finet & Kevin Kristoforidis & Julie Laznicka - 95-112 Board Gender Diversity and Sustainability: A Literature Review
by Alessandra Faraudello & Francesca Cacciolo
April 2025, Volume 16, Issue 2
- 1-16 Financial Management Techniques: The Key to Financial Health of Inua Jamii Senior Cash Transfer Beneficiaries in Kenya
by Jesee Maingi Kariuki & Salome Musau - 17-29 Assessing the Effect of Financial Literacy on Investment Decisions Among Matatu Savings and Credit Cooperative Societies in Kenya
by Moses Gathecha Wakanyi & Salome Musau - 30-43 Germany¡¯s New Constitutional Rules on Public Debt: An Analysis of Debt Sustainability and Intergenerational Fairness
by Bernd Lucke & Dirk Meyer - 44-54 Adopting Circular Economy Models for Healthcare Waste Management: Issues and Prospects in Saudi Arabia
by Omar Marfoa Alshamri & Saad Mohammed Alnefaee
January 2025, Volume 16, Issue 1
- 1-19 A Multi-model Analysis of Climate-related Financial Risk Disclosure and De-carbonization Investment Portfolios Piloting to the TCFD
by Shuqin Gao - 20-34 Wage Bargaining and Inflation: Perception Thresholds in the Labor Market and the Impact on Distribution and Economic Development ¨C Evidence From Two Behavioral Experiments
by Christian A. Conrad - 35-49 Basic Stochastic Framework for Designing and Understanding Real Estate Models
by David Park - 50-61 Factors Affecting Fraud in the Procurement of Government Goods/Services (PBJP)
by Agus Istiyadi & Silviana - 62-71 Relative Levels of CEO Inside Debt and the Impact of Hedging on Shareholder Value
by James M. Nelson
October 2024, Volume 15, Issue 4
- 1-9 The Anomalous Behavior of Stock Prices on the Canadian Securities Exchange
by Raymond A. K. Cox & Quan Cheng & Garrett R. A. Cox - 10-24 SFDR Regulation (Level 2): What Impact on the Performance of Sustainable ETFs?
by Valeria Roncone & Manuela Massari - 25-34 BCT Crowdfunding: Is It the Bridge of Trust Required for Funding EU¡¯s SMEs?
by Ido Kallir & Daniel Levinson - 35-45 Spillovers and Correlation Among Energy Futures Markets
by Alberto Manelli & Roberta Pace & Maria Leone
July 2024, Volume 15, Issue 3
- 1-19 Comparative Analysis of Risks and Their Impacts on the Banking Stability of Islamic and Conventional Banks in the MENA Region
by Ines Hedhili & Adnene Ajimi - 20-32 The Effect of Financial Inclusion on Enterprise Performance in Cameroon
by Chwifeh Sabru Linus & Njong Mom Aloysius & Tayong Desmond Mimba - 33-53 The Impact of Political Contributions and Election Bets on Abnormal Stock Returns and Shareholder Equity in Taiwan's Presidential Elections
by Ai-Chi Hsu & Jing-Long Yu & Tse-Mao Lin - 54-68 Russia¡¯s Invasion of Ukraine and Implications for the Ukrainian Hryvnia and the Russian Ruble
by Hoje Jo & Olivia Venderby
April 2024, Volume 15, Issue 2
January 2024, Volume 15, Issue 1
- 1-18 Forecasting and Cross-Correlation of Series on the Waste Generation, Population, GDP and Household Consumption Expenditures in Jordan
by Omar Alhanaqtah - 19-35 Are The Sudanese Banks Financially Sound?
by Nawal Hussein Abbas Elhussein & Ahmed Ali Eldawaha - 36-51 The Relationship Between Corporate Governance and Earnings Management: Evidence From Bangladesh
by Md Helal Uddin
October 2023, Volume 14, Issue 4
July 2023, Volume 14, Issue 3
- 1-21 Application of Machine Learning With News Sentiment in Stock Trading Strategies
by Tse-Mao Lin & Jing-Long Yu & Jhih-Wei Chen & Chin-Sheng Huang - 22-29 Does Working Capital Management Impact How Well a Company Performs? Panel Data Analysis on the Textile Industries of Bangladesh
by Manjurul Alam Mazumder - 30-42 Corporate Governance Mechanisms and Stock Price Volatility: The Mediating Role of Dividend Policy: Evidence From Emerging Markets
by Hassan M. Hafez - 43-57 External Financing of Budget on Sustainable Economic Growth in Nigeria
by Abiodun F. Okunlola & Olajumoke R. Ogunniyi & Rafiu Adewale Aregbeshola & Michael A. Alatise - 58-63 A Model of Uniformity in a Preference Function
by Partha Pratim Dube
April 2023, Volume 14, Issue 2
- 1-17 The Restraining Effect of Human Capital Mismatch and Structure Distortion on Economic Growth -- A New Structural Economics Analysis
by Chenyang Li - 18-30 Predicting Long-Run and Short-Run Movement of Sectoral Index: Evidence From Philippine Stock Market
by William T. Sucuahi - 31-51 Financial Deepening, OFDI and Economic Growth: Based on the Perspectives of Both China and Host Countries
by Zedong Cai & Yike Shi & Linjie Wang - 52-70 An Empirical Analysis of Private Equity, Listed Private Equity and Public Equity
by Ernst Fahling & Celina Funfgeld & Robert Kelm - 71-78 Abnormal Returns From Hedging, Firm Size, and the Fama and French Multifactor Models
by James M. Nelson - 79-92 Improvisation in the Management of Lithuanian Art Organisations
by Daiva Masaityte & Virginia Jureniene
January 2023, Volume 14, Issue 1
- 1-12 The Vanishing Role of IFRS Application on the Performance of Saudi Arabian IPO Companies
by Fouad Jamaani - 13-19 Using Alternative Investment Vehicles to Replication Hedge Funds Risk and Return
by Mahmoud Haddad - 20-40 A Longitudinal Study of Sales-Based Investment and Leverage Decisions
by Rihab Belguith & Fathi Abid - 41-52 The Size Effect and the Value Effect in the American Stock Market
by Bing Xiao - 53-70 Tanzania¡¯s National Financial Inclusion Framework and How It Facilitated Financial Inclusion: A Forgotten Political-Economic Story
by Deogratius Joseph Mhella - 71-80 Innovation, Business Strategies and Stock Returns in Biotechnology Industry
by Levan Efremidze
October 2022, Volume 13, Issue 4
- 1-15 The Effect of the Use of Solidarity Financing on Entrepreneurial Activities in the North West and South West Regions of Cameroon
by Mbinkar Wiysanyuy Benard & Robinson Eydis Olsen - 16-25 The Role of Digital Banking Services on Commercial Banks Performance in Somalia: A Descriptive and OLS Approach
by Abdulkadir Mohamed Nur
July 2022, Volume 13, Issue 3
- 1-24 Finding Optimal Parameter Values for the MACD Indicator: Evidence From the Japanese Nikkei 225 Futures Market Using a New Methodology
by Byung-Kook Kang - 25-27 Special Underwriter-Reputation Measuring Method From a Small Emerging Economy
by Dhoha Mellouli & Siwar Ellouz - 28-42 Foreign Direct Investment and Inclusive Growth in Nigeria: The Role of the Financial Sector Development
by Emeka Nkoro & Aham Kelvin Uko
April 2022, Volume 13, Issue 2
- 1-13 Issues and Challenges Faced by Islamic Financial Institutions in Canada
by Samia Benaziez & Rusni Hassan - 14-35 Estimating the Tail Index of Conditional Distribution of Asset Returns
by Feruzbek Davletov - 36-43 The Mediation Effect of Country Risk in the Nexus Between Stock Market Development and Economic Growth: Evidence From Developing Countries
by Hassan El-Sady & Amira Ragab & Dina Mohsen - 44-60 Next Generation Investors and Financial Advice Consumption: An Empirical Analysis
by Andrea Lippi & Simone Rossi - 61-75 Pre and Post Global Financial and Economic Crisis on Nigerian Economy
by Isibor Areghan
January 2022, Volume 13, Issue 1
- 1-17 Bank Credit Risk Rating Process: Is There a Difference Between Developed and Developing Country Banks?
by Emna Damak - 18-41 Create a New Method of Santander Bank Branches
by Ahmad Alqadi - 42-73 Testing Financial Contagion in Emerging Countries: Evidence From BRICS Countries
by Olivier Niyitegeka - 74-89 Financial Accountability Framework for Local Municipalities in the North West Province
by A. J. Mothupi & W. Musvoto & J. N. Lekunze - 90-95 Effect of the Capability Component of Fraud Theory on Fraud Risk Management in Nigerian Banks
by Charles Uzodinma Eze & Emmanuel Chukwuma Ebe & Ifeoma Mary Okwo & Ogechi Ibeabuchi-Ani & Magnus S Odume & Jennifer Odinakachi Godspower & Josephine Adanma Nmesirionye & Chinelo Jenevive Obiekwe & Enobong Eshiet Udeme & Emmanuel Ifeanyi Obeagu
October 2021, Volume 12, Issue 5
- 1-9 Formal and Informal Savings Habits and Income Levels: A Case Study in Mexico
by Georgina Manrique Morteo & Milka Escalera-Chavez & Elena Moreno-Garcia - 10-23 An Analysis of the Aspects Hampering Informal Sector Tax Administration: Case of the Zimbabwe Revenue Authority
by Adegbola Otekunrin & Kudzanai Matowanyika & Chena Tafadzwa - 24-40 Tax Awareness, Taxpayers¡¯ Perceptions and Attitudes and Tax Evasion in Informal Sector of Ekiti State, Nigeria
by Oluyinka Isaiah Ogungbade & Adekunle Enitan & Adeleke Clement Adekoya - 41-57 Bank Credit Risk Rating Process: Is There a Change With the 2007-09 Crisis?
by Emna Damak - 58-70 Combining Financial Information and Corporate Social Responsibility Related Information for Characterizing Corporate Disclosure: Some Insights From Moroccan Context
by Youssef Saida - 71-79 Can Multistep Nonparametric Regressions Beat Historical Average in Predicting Excess Stock Returns?
by Najrin Khanom - 80-88 Exploring the Influence of Commodity Prices, Real Exchange Rate and Trade Openness on Economic Performance in an Emerging Country
by Ipeleng Ntshwe & Rufaro Garidzirai - 89-103 Service Quality Strategy Challenges for Managers and Frontline Employees in the South African Post Office in the North West Province
by Elsie Mbua Eposi & Marius Potgieter - 104-129 Fractal Markets, Frontiers, and Factors
by Wilhelm Berghorn & Martin T. Schulz & Sascha Otto - 130-140 Investigating if the Financial Markets Performance Affects the Shadow Economy: Additional Evidence From EU Countries
by Pyrros Papadimitriou & Thomas Poufinas & George Galanos & Charalampos Agiropoulos - 141-150 FDI, Stock Market Development and Institutional Quality: An African Perspective
by Patricia Lindelwa Makoni - 151-165 Are There Gender Differences in Sustainable Entrepreneurship Indicators Amongst SMEs in South Africa? Application of MANOVA
by Ogujiuba Kanayo & Ebenezer Olamide & Isaac Agholor & Estelle Boshoff - 166-179 Modeling the Exchange Rate Volatility Using the BRICS GARCH-type Models
by Lebotsa Daniel Metsileng & Ntebogang Dinah Moroke & Johannes Tshepiso Tsoku - 180-193 Net-Zero Emissions With Renewable Energy Certificates: A Public Policy for a Massachusetts Municipal Light Plant
by Joseph Yaw Abodakpi & Patrick Collins & Aidan Giasson - 194-210 Bank Credit Risk Rating Process: Is There a Difference Between Agencies?
by Emna Damak - 211-222 What Supports Startups Need From Science and Technology Parks
by Daniel C. Lee & Xu Feng & Yangmin Xiong - 223-245 Impact of Risk-Taking on Firm Value
by Yong Jae Shin & Unyong Pyo - 246-254 How the Crowding-out Effect Hypothesis Stands Under a Financial System Liberalised: The Mexican Economy Case
by Benjamin Garcia Paez - 255-264 A General and Theoretical FX Model for the Multi-Currency Basket: Economic, Financial and Mathematical Approach
by Amine El Bied - 265-276 A Hybrid Model to Alleviate Unemployment and Poverty in South Africa
by P. C. Enwereji & D. E. Uwizeyimana - 277-293 Liquidity Mismatch Index and Bank Performance
by Godfrey Marozva
July 2021, Volume 12, Issue 4
- 1-11 The Impact of Serious Safety Incidents on Airline Stocks
by Jeffery A. Born - 12-23 Implications of COVID-19 Lockdown on South African Business Sector
by Chuks I Ede & Mfundo Mandla Masuku & Nokukhanya N Jili - 24-32 Managerial Characteristics as Drivers of Innovation
by Derrick Bonyuet - 33-42 Investor Sentiment by Money Flow Index and Stock Return
by Lai Cao Mai Phuong - 43-51 Early Adopters to Early Majority - What's Driving the Artificial Intelligence and Machine Learning Powered Transformation in Financial Services?
by Srikrishna Chintalapati - 52-64 The Investment in Fixed Assets Before and After the Global Financial Crisis (Empirical Study for Industry and Investment Sector in Palestine Stock Exchange)
by Tamer Bahjat Sabri - 65-77 Exploring Reflections of Lecturers on Ethics in the Accounting Curriculum: A Case Study of Ukzn and Unizulu, South Africa
by Ankur Ratnam Tewari & Lokesh Ramnath Maharajh - 78-87 Bankruptcy Risk and Financial Performance of Companies Listed on the Stock Exchange of Thailand
by Thitima Chaiyakul - 88-99 Public Sector Accounting in Europe: A Systematic Literature Review
by Helio Corguinho Fernandes & Joao Lopes Pita & Jose Domingues Jesus & Guilherme Martins Camara - 100-110 Empirical Analysis of the Relationship Between the Development of China's Tourism Industry and Economic Growth Based on VAR Model
by Lianfeng Zhang & Yuriy Danko & Jianmin Wang & Zhuanqing Chen - 111-124 Environmental Disclosure Modelling in a Developing Economy: Does Corporate Governance Matter? A Double Hurdle Regression Approach
by Gbenga Ekundayo & Ndubuisi Jeffery Jamani & Festus Odhigu - 125-134 A Systematic Literature Review on Mergers and Acquisitions: A Bibliometric Analysis Approach
by Godswill Osagie Osuma & Ochei Ailemen Ikpefan & Olawale Yinusa Olonade & Abimbola Abosede Joshua - 135-145 Efficiency Measurement of Indian Banking Industry: An Empirical Comparative Analysis
by Syed Raziuddin Ahmad & Muhammad Nauman Khan - 146-155 Marketing of Cities as Centres of Socio-Economic Development in the Process of Globalisation
by Sergeys Ignatyevs & Sergey A. Makushkin & Sergiy Spivakovskyy - 156-167 Treasury Single Account Policy and Revenue Generation Among Federal Parastatals in Ekiti-State, Nigeria
by Oluyinka Ogungbade & Omowumi Olanike Oshatimi & Adebola Daniel Kolawole - 168-178 Human Capital Reporting (HCR) and Shareholder Value Maximization in Listed Manufacturing Firms in Nigeria
by Ademola Adeniran Adewumi & Ilesanmi Isaac Omole & Amos Olatunbosun Talabi & Godwin Gabriel Omula - 179-190 Entrepreneurs Characteristics of Thematic Small and Medium Industries in Innovation Sub District of Palu City
by Rosida P. Adam & Zakiyah Zahara & Suardi1 & Idris - 191-202 Do Board Characteristics Affect Financial Reporting Timeliness? An Empirical Analysis
by O. Asiriuwa & S. B. Adeyemi & O. R. Uwuigbe & U. Uwuigbe & E. Ozordi & O. Erin & O. Omoike - 203-211 Herding Phenomenon During Various Market Conditions
by Olfa Chaouachi - 212-224 Students Perception About Digital Financial Services
by Elena Moreno-Garcia & Arturo Garcia-Santillan & Damaris Platas Campero - 225-238 A Systematic Literature Review on Critical Thinking in an Undergraduate Accounting Programme
by Lilian Ifunanya Nwosu & Hester Vorster - 239-249 Banking Services Marketing via Social Media Platforms and Its Impact on Consumer Behavior During COVID-19 Pandemic in Jordanian Banks: Mediating Role of Innovation Marketing
by Naseem Abu Roman - 250-258 Exchange Rates and Dominant Macro Fundamental
by Vahid Gholampour - 259-267 The Impact of Corporate Performance on Mental Accounting and Loss Aversion in Financial Decisions
by Mona Hassabelrasoul Mohammad & Dalal Mohamed Ebrahim Mohamed & Elsaid Abd Elazim Tolba Elsharkawi - 268-276 Performance of Firm and Board Attributes Nexus: Using Hausman Test Analysis
by Adegbola Otekunrin & Tony Nwanji & Damilola Fagboro & Johnson Olowookere & Stella Ibitoye - 277-293 Compliance With International Financial Reporting Standards and Value Relevance of Accounting Information in South Africa
by Unity Maqeda Putsai & Msizi Mkhize - 294-303 Crowdfunding: New Financing Tool for Social and Solidarity Economy in Morocco
by Reda Sahmi & Mostafa El Hachloufi & Meriem Aboulethar - 304-314 Budgetary Systems in Organisations: An Anatomy of Management Views, Employees¡¯ Behaviour and Productivity Trend of 21st Century Firms in a Tropical Nation
by Usen Paul Umo
May 2021, Volume 12, Issue 3
- 1-18 Half Century of Gold Price: Regime-Switching and Forecasting Framework
by Nguyen Bao Anh & Yiqiang Q. Zhao - 19-30 Estimating the Translog Cost Function for the Telecommunications Sector in Saudi Arabia: The Case of Saudi Telecom Company: An Empirical Study
by Salim Bagadeem - 31-42 Remuneration, Personnel Expenses and Third Party Expenses in Times of Covid-19 in the Financial Sector
by Anderson Arcos-Leon & Margaret Diana Colqui-Estrella & Anny Paula Sugasti-Arivilca & Wagner Enoc Vicente-Ramos - 43-54 The Determinants of Tax Revenues: Empirical Evidence From Jordan
by Ali Mustafa AL-Qudah - 55-69 The Impact of Audit Committee Performance and Composition on Financial Reporting Quality in Jordan
by Qasim Ahmad Alawaqleh & Nashat Ali Almasria - 70-77 Applying the ARIMA Model to the Process of Forecasting GDP and CPI in the Jordanian Economy
by Abdullah Ghazo - 78-91 The Determinants of Islamic and Conventional Banks Profitability in the GCC Region
by Bassam Omar Ali Jaara & Mohammad A. AL-Dahiyat & Ismail AL-Takryty - 92-102 Is Risk Based Capital Ratio a True Measure of the Soundness of Banks? Evidence From India
by J. Navas & P. Dhanavanthan & D. Lazar - 103-115 Some Insights Into Financial Literacy Among Undergraduate Students: A Case of Bosnia and Herzegovina
by Jasmina Okicic & Meldina Kokorovic Jukan & Mensur Heric - 116-134 Mapping Global Research on International Financial Reporting Standards: A Scientometric Review
by Oleh Pasko & Mykola Hordiyenko & Fuli Chen & Yarmila Tkal & Yulia Abraham - 135-141 Stock Return Variations: The Validity of Systemic Risk, Size and Valuation as Explanatory Variables in the Lebanese Stock Market
by Jamil Chaya & Jamil A. Hammoud & Wael A. Saleh - 142-148 Current Assets Management, Remuneration, and Operating Cash Flow of UAE Construction Companies
by Haitham Nobanee & Mohammed Haitham A. Salman & Jaya Anitha Abraham - 149-156 Compliance Factors of Malaysian Private Entity Reporting Standard (MPERS) by Small Medium Enterprises (SMEs)
by Nurul Nazlia Jamil & Nathasa Mazna Ramli & Ainulashikin Marzuki & Nurul Nadiah Ahmad - 157-161 Strategies of Sustainable Cooperative Partnerships
by Misbahul Munir & Maretha Ika Prajawati & Basir S. - 162-171 Five Years of Inflation Targeting Without Economic Growth: What Should Be Changed? The Case of Russia
by Oscar Gasanov - 172-180 Environmental Operations Review and Stakeholders¡¯ Wealth of Extracting Firms: Evidence From Nigeria
by Akabom Ita Asuquo & Nicholas Obun Dan & Innocent Oko Odey & Mkpa Ubuo Linus & Ashishie Peter Uklala & Arzizeh Tiesieh Tapang - 181-192 Personnel Expenses and Productivity Change in Peruvian Stock Mining Companies
by Johan Axcel Torres Bonilla & Fiorella Melissa Arena Pariona Marcos & Pedro Bernabe Venegas Rodriguez & Nivardo Alonzo Santill¨¢n Zapata & Jimmy Alberth Deza Quispe - 193-204 Analyzing the Dynamics Between Macroeconomic Variables and the Stock Indexes of Emerging Markets, Using Non-linear Methods
by Huthaifa Alqaralleh & Ahmad Al-Majali & Abeer Alsarayrh - 205-219 The Effect of Net Income and Other Comprehensive Income on Future¡¯s Comprehensive Income With Attribution of Comprehensive Income as Moderating Variable
by Marhaendra Kusuma & Diana Zuhroh & Prihat Assih & Grahita Chandrarin - 220-229 Does the Environmental Internal Audit Impact the Achieving of Sustainable Development in Industrial Companies Listed on the Amman Stock Exchange?
by Eman Ahmad Al Hanini - 230-239 The Effect of Number of Visitors, Tourist Destinations, Hotel Room Tax and Accommodations on Original Local Government Revenue: Case Study West Sumatra Province, Indonesia
by Lusiana & Mondra Neldi & Sigit Sanjaya & Zefriyenni - 240-250 The Moderating Effect of Non-audit Services Fee on Aggressive Tax Planning: Empirical Evidence From Malaysian Listed Companies
by Rosmaria Jaffar & Chek Derashid & Roshaiza Taha - 251-260 Women's Leadership and Pragmatism Incidences on Performance of Listed Family-Owned Firms in the Cultural Context of Arab Countries
by Azzeddine Allioui & Badr Habba & Taib Berrada El Azizi - 261-270 Financial Inclusion in Zimbabwe: Determinants, Challenges, and Opportunities
by Florence Barugahara - 271-283 Relationship Between Unemployment Rate and Shadow Economy in Nigeria: A Tado-Yamamoto Approach
by Felicia C. Abada & Charles O. Manasseh & Ifeoma C. Nwakoby & Ngozi Franca Iroegbu & Johnson I. Okoh & Felix C. Alio & Adedoyin I. Lawal & Onyinye J. Asogwa - 284-299 Political Instability and Banks Performance in the Light of Arab Spring: Evidence From GCC Region
by Bassam Omar Ali Jaara - 300-319 Trend Momentum II: Driving Forces of Low Volatility and Momentum
by Wilhelm Berghorn & Martin T. Schulz & Markus Vogl & Sascha Otto - 320-344 The Concurrent Effects of IFRS Mandate and Formal Institutional Quality on the Aftermarket Performance of IPO Firms in Emerging Countries
by Manal Alidarous & Fouad Jamaani - 345-355 Early Results on Depth of the Nascent Kenyan Derivative Market
by Faith Mwende Christopher & Amos Njuguna & Peter Kiriri - 356-369 Does Demand Uncertainty Moderate the Relationship of Risk Attitude and Sticky Cost? Evidence From Egypt
by Ahmed M. Abdelhamid - 370-380 Does Financial Inclusion Important in MSMEs Financing in Indonesia? Analysis Using Dimension Bank as Mediation
by Karisa Zeisha Sahela & Osama Isaac & Askardiya Radmoyo Adjie & Riana Susanti - 381-392 The Causality Relationship Between Financial Sector Profitability and the Botswana Economy
by Tebogo Tshepo Kubanji & Simangaliso Biza-Khupe & Mogotsinyana Mapharing - 393-406 The Effect of Using Accounting Measurement Bases (Cash and Accrual) on the Performance of the Industrial Companies Listed on Palestine Stock Exchange
by Omar Abed Awad Joudeh & Firas S. Q. Barakat & Oroubah A. R. Mahmoud - 407-420 The Roles of the Government Internal Control System to Minimize Corruption Through the Fraud Star
by Haryono Umar & Ulfah Apriani & Rahima Br. Purba - 421-434 The Impact of Social Enterprises: A Bibliometric Analysis From 1991 to 2020
by Faraudello Alessandra & Barreca Manuela & Iannaci Daniel & Lanzara Federica - 435-445 Finding the Network Structure of Rwandan Interbank Market
by Patrick Mugenzi & Thomas Kigabo Rusuhuzwa & Annie Uwimana - 446-465 Corporate Governance Mechanisms and Firm Performance in Saudi Arabia
by Helmi A. Boshnak - 466-476 The Relationship Between Profitability and Firm Value: Evidence From Manufacturing Industry in Indonesia
by Bambang Sudiyatno & Elen Puspitasari & Ida Nurhayati & Tristiana Rijanti
April 2021, Volume 12, Issue 2
- 1-9 Financial Risk Tolerance: The Case of Older Chinese in Klang Valley, Malaysia 2020
by Shyue Chuan Chong & Han Kok Heng & Siok Jin Lim & Vejaratnam Navaratnam & Andaeus Zun Khan Neoh - 27-42 Financial Inclusion and Tax Revenue: Evidence From Europe
by Bassam Al-Own & Tareq Bani-Khalid - 43-54 Analysis of Macroeconomic Determinants of Peruvian Gold Export Value in the Period 2003-2019
by Carlos Alberto Tovar Jaco & Madeleyne Karol Mucha Alhuay & Pedro Bernabe Venegas Rodriguez & Nivardo Alonzo Santill¨¢n Zapata & Jimmy Alberth Deza Quispe - 55-61 Impact of Covid-19 in the European Start-ups Business and the Idea to Re-energise the Economy
by Stavros Kalogiannidis & Fotios Chatzitheodoridis - 62-74 Revisiting the Impact of Mobile Banking in Financial Inclusion Among the Developing Countries
by Ummahani Akter & S. M. Rakibul Anwar & Riduanul Mustafa & Zulfiqure Ali - 75-92 Financial Behavior of Family Businesses: A Bibliometric and Systematic Literature Review
by Oumaima Quiddi & Badr Habba - 93-105 Nexus Between Corporate Social Responsibility, Environmental Disclosure and Financial Reporting Quality Among Listed Firms in Nigeria
by Odia Honesty Amenaghawon & Gbenga Ekundayo & Festus Odhigu & Mary Josiah - 106-114 Peer to Peer Lending Industry in China and Its Implication on Economic Indicators: Testing the Mediating Impact of SMEs Performance
by Babak Naysary & Siti Nurbaayah Daud - 115-124 Social Capital of Bank Leaders and Activities of Commercial Banks
by Vu Cam Nhung & Lai Cao Mai Phuong - 125-137 Carbon Credit Risk Mitigation of Deforestation: A Study on the Performance of P2H Products and Services in Indonesia
by Wiwik Utami & Lucky Nugroho & Kelum Jayasinghe - 138-149 Financial Openness and Economic Growth in C?te d¡¯Ivoire: The Total Factor Productivity Channel
by Hugues Kouassi Kouadio & Landry Lewis Gakpa - 150-163 The Impact of Corporate Governance on the Profitability of Insurance Firms in Syria
by Souzan M. Kabbani & Essam K. Zaneldin - 164-171 Consumer Behavior in the Information Economy: Generation Z
by Ekaterina Anatolevna Grigoreva & Liliya Fuatovna Garifova & Elvira Anasovna Polovkina - 172-183 An Empirical Analysis of Macroeconomic and Bank-Specific Factors Affecting Bank Deposits in Vietnam
by Vu Thi Phuong Thao & Le Trung Thanh - 184-194 Problems of an Ergonomic Approach to the Design of a Uniform Medical Suit
by Venera M. Yumagulova & Elmira G. Akhmetshina & Gulnaz R. Ahmetshina - 195-201 An Examination Into the Causal Links Among Inward FDI Determinants: Empirical Evidence From Jordan
by Mohamed Ibrahim Mugableh - 202-209 Stock Market Reforms and Stock Market Performance
by Karthigai Prakasam Chellaswamy & Natchimuthu N & Muhammadriyaj Faniband - 210-218 Features of Information Coverage of Regional Environmental Policy on the Instance of the Republic of Tatarstan
by Galina Viktorovna Morozova & Irina Dmitrievna Porfireva - 219-232 The Impact of Market Timing on European Firms¡¯ Capital Structure: RLBOs vs. IPOs
by Fadoua Kouki - 233-241 Workers¡¯ Remittances and Economic Growth: Evidence From Bangladesh
by Tamanna Islam - 242-250 Improving the Mechanisms of Public-Private Partnership
by Aliya Zyalilevna Minnibaeva & Irina Yurievna Vaslavskaya & Irina Alexandrovna Koshkina & Artur Faridovich Ziyatdinov - 251-262 Financial Factors and Their Relative Importance Analysis in Peruvian Gold Mining Companies¡¯ Stock Price
by Jose Fernando Vilcarromero Arbulu & Jorge Luis Castilla Raimundo & Pedro Bernabe Venegas Rodriguez & Nivardo Alonzo Santillan Zapata & Jimmy Alberth Deza Quispe - 263-273 Financial Deepening and Economic Growth in Nigeria: A Johannsen and Error Correction Model Techniques
by Victoria Okafor & Ebenezer Bowale & Ademola Onabote & Adedeji Afolabi & Jeremiah Ejemeyovwi - 274-283 Restructuring Outsourcing: Classification and Methodical Approach to Evaluating Expediency and Economic Effect
by Il'nur Ildusovich Farkhoutdinov & Aleksei Gennadevich Isavnin - 284-293 The Relative Importance of Financial Ratios in Making Investment and Credit Decisions in Jordan
by Mohammad Ahmad Alqam & Haitham Yousef Ali & Yaser Mohd Hamshari - 294-307 Is Islamic Bank More Stable Than Conventional Bank? Evidence From Islamic Rural Banks in Indonesia
by Agus Widarjono & M. B. Hendrie Anto & Faaza Fakhrunnas - 308-317 Impact of the Application of IFRS 15 on the Profitability of Jordanian Telecom Companies (Case Study: Jordan Orange Telecom)
by Ola Mohammad Khersiat - 318-326 Ways to Increase the Competitiveness of Agricultural Consumer Cooperatives in Modern Conditions
by Gulnara Raisovna Chumarina & Olga Alexandrovna Shipshova - 327-340 Ideal Investment Protection in Optimistic Perceptions: Evidence From the Indian Equity Options Market
by Babu Jose & James Varghese - 341-356 Concealing Financial Distress With Earnings Management: A Perspective on Malaysian Public Listed Companies
by Mohamad Ezrien Bin Mohamad Kamal & Siti Sarah Binti Khazalle - 357-368 The Influence of Auditor Opinion, Audit Committee, Discretionary Accrual on Corporate Performance and Cumulative Abnormal Return (Evidence From Indonesia Stock Exchange)
by Indrayati & Basuki Rahmat & Kuni Utami Handayawati - 369-375 Empirical Study of the Dividend Policy of Russian Companies at the Present Stage
by Irina Alekseevna Filippova & Milyausha Kharisovna Biktemirova & Evgeniya Yurievna Strelnik & Rustam Rinatovich Salikhov - 376-388 Curbing Unemployment Through Job Creation as Panacea to Inclusive Growth in Nigeria
by Felicia C. Abada & Benedict I. Uzoechina & Charles O. Manasseh & Ifeoma C. Nwakoby & Paul C. Obidike & Adedoyin I. Lawal & Bukola B. Lawal-Adedoyin & Felix C. Alio - 389-400 The Impact of Trade Openness and Foreign Direct Investment on Economic Welfare in sub-Saharan Africa
by Folasade Bosede Adegboye & Olumide Sunday Adesina & Felicia Omowunmi Olokoyo & Stephen Aanu Ojeka & Victoria Abosede Akinjare - 401-416 The Early Impact of Government Financial Intervention Policies and Cultural Secrecy on Stock Market Returns During the COVID-19 Pandemic: Evidence From Developing Countries
by Fouad Jamaani & Manal Alidarous & Abdullah Al-Awadhi
January 2021, Volume 12, Issue 1
- 1-11 FDI and Economic Growth in the Central African Economic and Monetary Community (CEMAC) Countries: An Analysis of Seven Economic Indicators
by Paul Sindze & Phouthakannha Nantharath & Eungoo Kang - 12-22 Examining the Factors Affecting Sovereign Credit Rating of Gulf Cooperation Council Countries
by Yaser A. AlKulaib & Musaed S. AlAli - 23-29 Financial Features of Systemically Important Banks Operation in Modern Conditions
by Elvira Ildarovna Bulatova & Ekaterina Vladimirovna Ipatova - 30-39 The Effect of Financial Performance on the Profitability of Food and Beverage Companies in Indonesia
by Herdiyana & Adi Sumarno & Endri Endri - 40-49 The Influence of Growth Opportunities on IPO Initial Aftermarket Performance
by Norliza Che-Yahya & Siti Suhaila Abdul-Rahman - 50-59 Company Dividend Policy Modeling: Neutral Approach
by Sergey Krylov - 60-70 Market Efficiency of Indian Capital Market: An Event Study Around the Announcement of Results of Lok Sabha Election 2019
by Nazreen Parveen Ali & Ashit Saha - 71-75 Financial Tips on the Need to Identify Active Degassing Structures When Planning Territory Development Using the Functional Zoning Method
by Arina Vyacheslavovna Rudenko & Valeriia Valerevna Shaimardanova - 76-91 Central Bank Communication and Policy Interest Rate
by Haryo Kuncoro - 92-100 Valued Added Tax (VAT) Impact on Economic and Societal Well-Beings (Pre-and Post COVID19): A Perception Study From Saudi Arabia
by Siti Norwahida Shukeri & Faisal D Alfordy - 101-110 An Early Warning Signal (EWS) Model for Predicting Financial Crisis in Emerging African Economies
by Kehinde Damilola Ilesanmi & Devi Datt Tewari
Printed from https://ideas.repec.org/s/jfr/ijfr11.html