Content
July 2018, Volume 9, Issue 3
- 1-19 Does Lead Time in CEO Succession Matter? Evidence From Planned Versus Unexpected CEO Departures
by Mia L. Rivolta - 20-25 Competition Between Volatility and Overall Market Gain and the Performance of Leveraged Index Funds
by Rainer Schad - 26-35 The Impact of Tax Deduction Ratio Reduction on Dividend Payouts Under the Integrated Tax System: Evidence From Taiwan
by Sue-Tzeng Chuang & Ying-Hsiang Chen & Ching-Chieh Lin & Wen-Chih Lee - 36-52 Effects of CEO Turnover and Board Composition Reform on Improvements in the Internal Control Quality
by Hiroshi Uemura - 53-60 Knowledge Sharing and Individuals¡¯ Work Performance: A Virtuous Spiral
by Angela Teixeira & Paulo L. Henriques & Maria C. Santos - 61-74 Ownership Structure and Efficiency of Banking Industry in China and Vietnam - A Political View
by Manh-Trung Phung & Cheng-Ping Cheng & Chen-Yu Kao - 75-85 Has Fiscal Rules changed the Fiscal Behaviour of Union Government in India? Anatomy of Budgetary Forecast Errors in India
by Lekha S Chakraborty & Darshy Sinha - 86-97 Analysis Grid of Adjustment Strategies of Non-profit Organizations Benefiting From Microcredit to the Constraints of Microfinance Institutions: The Case of Burundi
by Marie-Goreth Nduwayo & Michel Sayumwe - 98-102 The Nexus Between the Elasticity of Intertemporal Substitution and the Coefficient of Relative Risk Aversion
by Samih Antoine Azar - 103-107 Volatility Clustering at a Sector Level in the Chinese Equity Market
by Gerardo ¡°Gerry¡± Alfonso Perez - 108-116 Nexus Between Pension Fund Size, Design and Investment Strategy: A Review of Occupational Retirement Benefits Schemes in Kenya
by Wilson Ngugi & Amos Njuguna - 117-124 Macroeconomic Drivers of Stock Market Development: Evidence From Jordan
by Alaaeddin Al-Tarawneh & Ghazi Al-Assaf
April 2018, Volume 9, Issue 2
- 1-22 The Global Single and Regulated Market Framework of Financial Products and the International Economic Policies: Mathematical Approach of the Model
by Athanasios G. Panagopoulos & Thomas Chatzigagios & Ioannis Dokas - 23-30 Measuring Determinants and Effects of Firms¡¯ Financial Structure in a Deleverage Setting: Evidence From Italy
by Mario Mustilli & Francesco Campanella & Eugenio D¡¯Angelo - 31-38 Teaching Tax Law: Undergraduates¡¯ Thoughts Regarding the Implementation of Six Thinking Hats Technique
by Ufuk Gencel & Ilke Evin Gencel - 39-54 Risk Analysis of World Major Stock Index Before and After the 2008 Financial Crisis ¨C Based on GARCH-VaR Approach
by Maoguo Wu & Yanyuan Wang - 55-63 Empirical Estimates for how Changes in China¡¯s Foreign Reserves Are Hurting Chinese Exports and Helping US Exports
by Jonathan E. Leightner - 64-75 Financial Constraints and Financial Crises: The Case of Portuguese Listed Companies
by Luisa Pereira & Armando Silva & Sonia Nogueira Silva - 76-89 Transparency and Accountability in Public Financial Management: A Stewardship Account at Kano State Ministry of Finance, Nigeria
by Kabiru Isa Dandago - 90-95 The Fourth Industrial Revolution: Opportunities and Challenges
by Min Xu & Jeanne M. David & Suk Hi Kim - 96-104 Empirical Assessment of Factors Influencing Corporate Performance of China¡¯s Independent Brand Automobile Companies
by Maoguo Wu & Zhenyu Wu - 105-111 Volatility Spillover Analysis Post Implementation of AEC 2015 Agreement: Empirical Study on ASEAN-5 Stock Market
by Yunia Panjaitan & Siti Saadah - 112-121 SME Development Banks: Conceptual Framework and Empirical Analysis
by A. Casagrande & M. Spallone & Fabio Massimo Mango & Pina Mure - 122-133 Applying the Theory of Planned Behaviour (TPB) in Saving Behaviour of Pomak Households
by Nikolaos Satsios & Spyros Hadjidakis - 134-149 Board Rudiments and the Executive Attitude Towards Corporate Risk-Taking
by Bello Lawal - 150-164 Principal Components-based Investigative Study of Counter Measures to Financial Crimes
by Gabriel Babatunde Iwasokun & Raphael Olufemi Akinyede & Oniyide Alabi Bello - 165-171 Derivation Funds Management and Economic Development of Nigeria: Evidence From Niger Delta States of Nigeria
by Cordelia Onyinyechi Omodero & Michael Chidiebere Ekwe & John Uzoma Ihendinihu - 172-190 Heir to the Throne: Choice of the Replacement CEO After Unexpected CEO Turnovers
by Mia L. Rivolta - 191-202 Value and Size Effects in the Stock Market of the Philippines
by Gerardo ¡°Gerry¡± Alfonso Perez - 203-215 Unconditional Accounting Conservatism and Real Earnings Management
by Han Li - 216-226 An Empirical Analysis of the Impact of Fund Manager¡¯s Personal Characteristics on Fund Performance in China¡¯s Fund Market - Based on DEA Model and Threshold Panel Model
by Jialin Li & Siying Li - 227-235 Foreign Capital and International Division Trap
by Wenming Yuan - 236-248 Does Liquidity Influence Profitability in Islamic Banks of Bahrain: An Empirical Study?
by Hussein Khasharmeh
January 2018, Volume 9, Issue 1
- 1-7 Monday Effect in the Chinese Stock Market
by Gerardo ¡°Gerry¡± Alfonso Perez - 8-30 Lead-Lag Relationships in International Stock Markets Revisited: Are They Exploitable?
by Andreas Gruener & Christian Finke - 31-40 Macroeconomic Factors and Corporate Capital Structure: Evidence from Listed Joint Stock Companies in Vietnam
by Phan Thi Quoc Huong - 41-49 Performance Evaluation and Determinant Factors of China¡¯s Logistics Enterprises Based on Careersmart Balanced Score Card
by Maoguo Wu & Chengzhe Bai - 50-73 Does the January Effect Still Exists?
by Gerardo ¡°Gerry¡± Alfonso Perez - 74-89 Market Fragmentation, Market Quality and Clientele Effects
by D. Alasdair S. Turnbull - 90-98 How Early Can Non-Performance Loan Predict Bank Failure? Evidence from US Bank Failure during 2008-2010
by Abdus Samad - 99-114 Perceived Benefits and Challeges of IFRS Adoption in Ghana: Views of Members of Institute of Chartered Accountants, Ghana (ICAG)
by Mbawuni, Joseph - 115-120 Semi-Strong Form of Efficiency of Nigerian Stock Market: An Empirical Test in the Context of Input and Output Index
by Ajayi John Ayodele & Segun Anthony Oshadare & Olufunmilayo Adekemi Ajala - 121-131 The Relationship between the Market Value Added of SMEs Listed on AIM Italia and Internal Measures of Value Creation
by Andrea Quintiliani - 132-141 Multi-Criteria Decision-Making Model Evaluating the Performance of Vietnamese Commercial Banks
by Dinh Xuan Cuong & Hoang Thi Hien & Tran Long - 142-146 Raising Interest Rates: IOER vs. OMO: Interest on Excess Reserves vs Open Market Operations
by William H. Carlson & Conway L. Lackman - 147-162 Liquidity, Synergy and Winner-take-all Effect
by Mingyuan Sun - 163-170 Preferential Trade Agreements under Declining American Hegemony
by Kaoru Ishiguro - 171-188 Inflation Forecasts: Are Market-Based and Survey-Based Measures Informative?
by Magdalena Grothe & Aidan Meyler - 189-202 The Impact of Unsystematic Risk on Stock Returns in an Emerging Capital Markets (ECM¡¯s) Country: An Empirical Study
by Mohamed Masry & Heba El Menshawy - 203-218 Financial Inclusion, Bank Competitiveness and Credit Risk of Commercial Banks in Kenya
by Salome Musau & Stephen Muathe & Lucy Mwangi - 219-225 Impulse of Dividend Payment Decision: Evidence from Pharmaceutical Industry in Bangladesh
by Md. Ariful Hoque - 226-238 Test of Linkage between Governance Style and National Economic Indices
by Sharlywest Uwabor Eboigbe & Innocent Okwuosa
October 2017, Volume 8, Issue 4
- 1-6 Do Small Indonesian Companies Have a Better Performance in the Stock Market than Larger Ones?
by Gerardo ¡°Gerry¡± Alfonso Perez - 7-22 Brexit¡¯s Protectionist Policy and Implications for the British Pound
by Lara Joy Dixon & Hoje Jo - 23-37 Bank Lending and Interest- Rate Derivatives
by Fang Zhao & James Moser - 38-52 A Comparative Analysis of Four-Factor Model and Three-Factor Model in the Nigerian Stock Market
by Esther Ikavbo Evbayiro-Osagie & Ifuero Osad Osamwonyi - 53-63 A Proposed Courses Structure for the Preparatory College Year
by Mohammed H. S. Al Ashry - 64-70 Impact of Corporate Disclosure on Cost of Equity Capital in Vietnam
by Dung Viet Nguyen & Lan Thi Ngoc Nguyen - 71-79 Beyond Banks¡¯ Capitalization: What Affects the Credit Lines?
by Carmen Gallucci & Vincenzo Formisano & Michele Modina & Rosalia Santulli - 80-89 Mixed Ownership Structures and Firm Performance in China Listed Firms
by Xiaolou Yang - 90-98 Financial Development and Poverty Reduction: Evidence from Selected African Countries
by Yaya Keho - 99-106 Are Analysts Overoptimistic about the Prospects of Sin Firms?
by Jin Zhang & Haeyoung Shin - 107-114 Over-Valuation: Avoid Double Counting when Retaining Dividends in the FCFE Valuation
by Joao Marques Silva & Jose Azevedo Pereira - 115-126 A Psychometric Evaluation of Skill Clusters and Practices Used by Highly Effective Executive Presenters
by Augustine C. Arize & Scott Liu & Solomon Nyaanga & John Malindretos - 127-133 A Time Series Analysis of Major Indexes Using GARCH Model with Regime Shifts
by S. Aun Hassan - 134-147 The Merits of Specialized Microfinance Instruments and Their Feasibility in Alleviating Poverty in Albany-Dougherty County, Georgia
by Amaechi N. Nwaokoro & Abiodun Ojemakinde & Lee Washington - 148-166 Hedge Fund Return Dynamics: Long Memory and Regime Switching
by M. A. Limam & V. Terraza & M. Terraza - 167-183 The Effect of Branchless Banking Strategy on the Financial Performance of Commercial Banks in Kenya
by Gift Kimonge Dzombo & James M. Kilika & James Maingi - 184-195 Presidential Election and Portfolio Selections in the Nigeria Stock Exchange
by Ifuero Osad Osamwonyi & Osazee G. Omorokunwa - 196-212 Shareholder Value Index for Saudi Banks
by Sunitha Kumaran - 213-227 A Proposed Investment on a University Campus
by Mohammed H. S. Al Ashry - 228-239 Foreign Direct Investment, Financial Development and Economic Growth
by Najeeb Muhammad Nasir & Mohammed Ziaur Rehman & Nasir Ali - 240-247 Performance Evaluation of Religious Funds
by Praveen Das & S. P. Uma Rao & Denis Boudreaux
July 2017, Volume 8, Issue 3
- 1-26 Mandelbrot Market-Model and Momentum
by Wilhelm Berghorn & Sascha Otto - 27-39 A Robust Newcomb-Benford Account Screening Profiler: An Audit Decision Support System
by Frank Heilig & Edward J. Lusk - 40-50 Japan¡¯s Yen Loan, Prerequisite to Mass FDI from Japan
by Kikuo Oishi - 51-56 Entropy Risk Factor Model of Exchange Rate Prediction
by Darrol J. Stanley & Levan Efremidze & Jannie Rossouw - 57-73 Effects of the Credit Boom on the Soundness of Vietnamese Commercial Banks
by Hao Thi Kim Do & Nguyet Thi Minh Nguyen & Trung Hai Le - 74-84 Economic Assessment of Technology Adoption in Oil Palm Plantations from Colombia
by Mauricio Mosquera-Montoya & Elizabeth Ruiz-Alvarez & Eloina Mesa-Fuquen - 85-104 Higher Education Expansion and Return to Education in China: Evidence from CGSS2005 and CGSS2013
by Xinxin Ma & Chengcheng Zhang - 105-110 Company Size Effect in the Stock Market of Thailand
by Gerardo ¡°Gerry¡± Alfonso Perez - 111-120 Foreign Currency Prognostication: Diverse Tests for Germany
by Augustine C. Arize & Charles J. Berendt & Giuliana Campanelli Andreopoulos & Ioannis N. Kallianiotis & John Malindretos - 121-134 Modelling the Impact of Liquidity Trend on the Financial Performance of Commercial Banks and Economic Growth in Cameroon
by Godfrey Forgha Njimanted & Akume Daniel Akume & Nkwetta Ajong Aquilas - 135-141 Did the Introduction of Securities Margin Trading Decrease China¡¯s A-Share Market Volatility?
by Maoguo Wu & Hanyang Zhang & Kwok-Leung Tam - 142-153 Momentum: An Economic View
by Wilhelm Berghorn & Sascha Otto - 154-161 Equity Return Modeling and Prediction Using Hybrid ARIMA-GARCH Model
by Kaiying Sun - 162-171 The Causal Relationship of Microfinance and Economic Development: Evidence from Transnational Data
by Kerstin Lopatta & Magdalena Tchikov - 172-186 Technical Efficiency of Manufacturing Firms in Cameroon: Sources and Determinants
by Ernest Ngeh Tingum & Moses A. Ofeh - 187-194 Classification Shifting in the Income-Decreasing Discretionary Accrual Firms
by Humeyra Adiguzel - 195-208 Full ¨C Perspective Analysis of Medium Income Trap
by Guangtong Wang & Qiang Jiang
April 2017, Volume 8, Issue 2
- 1-6 Housing Prices at the Time of QEs in California: Effect of Mortgage Rates
by Yalan Feng & Donald C. Keenan & Taewon Kim & Daniel C. Lee - 7-39 The Interplay between Dividends and Leverage inside Commercial Banks
by Silvia Bressan - 40-50 The Nonlinear Dynamic Relationship between Stock Prices and Exchange Rates in Asian Countries
by Ryuta Sakemoto - 51-63 Younger Customers' Outlooks when Selecting and Changing a Financial Services Provider: The Case of Maltese Students
by Silvio John Camilleri & Denise Ellul - 64-74 Does Exports Promote the Economic Growth of China? A Long-Run View Point
by Qiang Jiang - 75-91 Capital Structure Choice and Firm Value: New Empirical Evidence from Asymmetric Causality Test
by Kartal Demirgunes - 92-104 Social Trust and Internal Control Quality - Evidence from China
by Han Li - 105-123 Factors Influencing Equity Return Correlations between China¡¯s Pairs of A- and B-Share Markets: Effect of QFII¡¯s Implementation
by Jung-Lieh Hsiao & Teng-Tsai Tu & Mei-Chun Chen - 124-134 Fair Value Information, Audit fees and Audit Committee in Taiwan
by Shu-Hsing Wu & Tsung-Che Wu & Kun-Lin Yang - 135-144 Empirical Test on Impact of Monetary Policy and Fiscal Policy on Vietnam Stock Market
by Tu Tran Thi Thanh & Linh Pham Thuy & Tiep Nguyen Anh & Thuy Do Thi & Tho Thi Hoai Truong - 145-162 Home Bias and the Real Estate Prices
by Hsiu-yun Chang - 163-175 Financial Development and Life Insurance Demand in Sub-Sahara Africa
by Osama Ose Iyawe & Ifuero Osad Osamwonyi - 176-181 School Governance, Accountability and Performance Management
by Daniela M. Salvioni & Raffaella Cassano - 182-185 Empirical Study of Technological Factors Being Involved in Income Distribution--An Example of Gansu Province
by Liqun Li - 186-193 The Effect of Corporate Profit Tax on Attracting Foreign Direct Investment in Albania
by Shpresa Cela - 194-212 Compensating Wage Differentials and Wage Discrimination in Major League Baseball
by Wen-Jhan Jane & Yu-Shan Kuo & Jye-Shyan Wang & Pei-Hsin Fang
January 2017, Volume 8, Issue 1
- 1-8 Toward the Future EU Growth: Capital Markets Union and Structural Reforms
by Antonin Rusek - 9-15 Foreign Direct Investment and Growth: A Study in the Context of Kuwait
by Ansarul Haque & Ashok Kumar Patnaik & Syeda Zubaida Hashmi - 16-25 Examining Asymmetric Volatility and Spillovers of ASEAN-6 Stock Markets in Financial Crisis
by Le Trung Thanh & Bui Thi Huong Lan - 26-32 Is Carry Trade Still Profitable in Turkish Lira?
by Aykut Akdag - 33-42 The Analysis of Major Credit Risk Factors - The Case of the Vietnamese Commercial Banks
by Nguyen Thuy Duong & Tran Thi Thu Huong - 43-64 Bank Regulation, Capital Ratio Behaviour and Risk Taking in a Simultanious Approach
by Hichem Maraghni - 65-78 The Taxation of Environmental Pollution: A Model for Tax Revenue-Environmental Quality Tradeoffs
by Hung-Ming Peter Wu & Keith D. Willett - 79-98 Tick Size Reduction and the Components of the Bid-Ask Spread on the Taiwan Stock Exchange
by Su-Wen Kuo - 99-111 Selection of PPP Projects in China Based on Government Guarantees and Fiscal Risk Control
by Yong Jiang - 112-125 The Economic Geography of Human Capital in Twentieth-Century Latin America
by Enriqueta Camps & Stanley Engerman - 126-142 The Corporate Response to Government Attacks on Tax Shelters
by Noel P. Brock & Edward J. Schnee & Shane R. Stinson - 143-154 The Determinants of Corporate Cash Holdings: The Case of a Small Emerging Market
by Ghada Tayem - 155-165 Vietnamese Banking System in the Context of ASEAN Financial Integration
by Hao Thi Kim DO & Lan Khanh Chu & Phuong Minh Nguyen - 172-180 Oil Price Fluctuations and Their Impact on Stock Market Returns in Jordan: Evidence from an Asymmetric Cointegration Analysis
by Buthaina M. A. Muhtaseb & Ghazi Al-Assaf - 181-188 Impact of Financial Ratios on Non-Performing Loans of Publicly Traded Commercial Banks in Bangladesh
by Md. Ataur Rahman & Md. Asaduzzaman & Md. Shakhaowat Hossin
October 2016, Volume 7, Issue 5
- 1-6 Is S&P100 Index a Mean-Variance Efficient Portfolio?
by Mohammad G. Robbani & Ajeet Jain - 7-18 R&D Investment and Market Reactions in Non-crisis and Crisis Periods: Evidence from Taiwan
by Shu-Ching Chou & Thanh Long Phan - 19-41 Why Hire a Big 4 Auditor 500 Miles Away?
by Lily Brooks & Michael D. Yu - 42-50 Beta and Size Revisited: Evidence from the French Stock Market
by Bing Xiao - 51-55 On the Systematic Downside Risk Measure: A Note
by Yin-Ching Jan - 56-76 Lecturer¡¯s Working Environment and Teaching Competence in Selected Agricultural Colleges in Vietnam
by Duong Thai Le & Cuong Hung Pham - 77-86 Does Dividend Policy Affect Firm Earnings? Empirical Evidence from Nigeria
by Ifuero Osad Osamwonyi & Iyobosa Lola-Ebueku - 87-98 Assessing Performance of Liquidity Adjusted Value-at-Risk Models
by Vandana Rao Daka & Sankarshan Basu - 99-109 Estimation for Production Factors in World Major Economies
by Yunhong Chen & Qiang Jiang - 110-123 Macroeconomics, Firm-Specific Factors and Stock Liquidity: An Empirical Evidence from Jordan
by Wasfi A. Al Salamat - 124-139 The Critical Success Factors for Implementation of Electric Customer Relationship Management in the Commercial Bank of Viet Nam
by Thuy Van Nguyen & Cuong Hung Pham - 140-145 The Importance of Human Inequalities and Health Care Quality in Life Expectancy of Countries
by Orhan Kandemir - 146-164 Intensive Board Monitoring and Firm Value: An Empirical Analysis in the Context of Saudi Arabia
by Hanan Alhussayen & Ridha Shabou - 165-175 The Determinants of the Choice of Alternative Financing Methods of SMEs in Bank Credit Rationing: Evidence from Cameroon
by Benjamin Yamb & Noe Ndjeck - 176-189 An Empirical Analysis of Volatility Characteristics of Inter-Bank Offered Rate of International Financial Centers
by Maoguo Wu & Xin Luo - 190-202 Internal Mechanisms of Governance and Risk Bearing of Banks: The Case of the CEMAC Zone
by Etienne Fran?ois Eloundou & Doris Mireille Befen Djinja - 203-220 The Relationship between Listing Requirements and Market Quality: An Examination Using NASDAQ¡¯s Tiered Market Structure
by Kevin D. Broom & Jason S. Turner
July 2016, Volume 7, Issue 4
- 1-13 International Parity Relations and Economic Shock: Evidence from Swiss Franc Unpegging
by Hoje Jo & Julian Dixon & Toshi Masubuchi & Manali Parmar & Stuti Rastogi - 14-17 Momentum for Independent versus Group Firms
by Hsiao-Peng Fu - 18-28 Predicting the Volatility of the Russell 3000 Stock Index
by Bing Xiao - 29-32 Faith Based Investing (FBI) Fund Performance: Luck or Skill?
by Praveen Das & S. P. Uma Rao - 33-43 Impact of Foreign Direct Investment (FDI) on Economic Growth in WAEMU from 1990 to 2012
by Galaye Ndiaye & Helian Xu - 44-65 Financial Development and Poverty Reduction: Exploring the Links between the Issues Using Evidence from Bangladesh
by Joynal Abdin - 66-95 Management Control and Takeover Premiums
by Trevor W. Chamberlain & Maxime Fabre - 96-104 The Impact of Oil Price Shocks on the Economic Growth and Development of Cross River State, Nigeria
by Amenawo Ikpa Offiong & Ignatius Ahmed Atsu & Edward Ajaude & Bassey Ina Ibor - 105-116 The Impact of Macroeconomic Factors on Credit Risk in Conventional Banks and Islamic Banks: Evidence from Indonesia
by Huey-Yeh Lin & Nuraeni Hadiati Farhani & Meihua Koo - 117-128 The Use of Gulf Cooperation Council Currencies in Carry Trade: A Case Study of United Arab Emirates Dirham
by Musaed AlAli - 149-167 Accounting Conservatism Trends and Financial Distress: Considering the Endogeneity of the C-Score
by Hui-Sung Kao & Pei-Jhen Sie - 168-174 The Role of Real Estate Derivatives in Hedging Real Estate: An Empirical Analysis of the U.S. Commercial Market
by Cem Berk - 175-179 Don¡¯t Put All of Your Alums in One Basket: College Admissions Decisions as a Portfolio Choice Problem
by Logan Dahl & Daniel K.N. Johnson - 180-189 Financial Statement and Competitiveness Analysis: A Study on Tourism & Hospitality Industry in Bangladesh
by Tanvir Mohammad Hayder Arif & Kazi Noor-E- Jannat & S.M. Rakibul Anwar - 190-197 An Examination of the Relationship of Corporate Governance to Firm Performance: Empirical Evidence from Vietnamese Listed Companies
by Nguyen Ngoc Dieu Le & Nguyen Ngoc Dieu Thi - 198-207 The Effect of External Debt on Inflation Rate in Kenya, 1972-2012
by Fredrick Tsofa Mweni & Amos Njuguna & Timothy Oketch - 208-241 The Effect of Changing the Listing Level on the Information Environment of ADRs
by Candice L. Deal
April 2016, Volume 7, Issue 3
- 1-12 A Critical Analysis of the Value Chain in the Rice Industry and Its Effects on the Export Rice Industry in Kien Giang Province, Vietnam
by Van Ngoc Bach & Cuong Hung Pham & Nhan Hoang Vo - 13-27 Factors Affecting the Performances of Internet Banking: A Case of Vietnam Commercial Banks
by Binh Anh Huynh & Nhan Hoang Vo & Cuong Hung Pham - 28-40 Seasonality Effect on the Vietnamese Stock Exchange
by Chung Tien Luu & Cuong Hung Pham & Long Pham - 41-53 Total Quality Management and Financial Performance of Construction Companies in Ha Noi
by Anh Duy Nguyen & Cuong Hung Pham & Long Pham - 54-64 Top Management Support, Organizational Learning, Innovative Behavior, Employee Commitment and Organizational Performance of Manufacturing Companies in Hai Phong
by Tuyen Khac Pham & Cuong Hung Pham & Long Pham - 65-80 The Competitive Advantages of Vietnam Footwear Industry: An Analysis
by Xuan Thi Thanh Phan & Cuong Hung Pham & Long Pham - 81-95 Assessing the Education and Training Strategy of Selected Colleges Responding to the Needs of Highly Qualified Professional
by Vu Quach & Nhan Hoang Vo & Cuong Hung Pham - 96-109 Job Stress, Involvement, Satisfaction and Performance of Employees in Garment 10 Corporation in Vietnam
by Viet Duc Than & Cuong Hung Pham & Long Pham - 110-120 Predictors of Performance of the ERP Adpopters in the Companies of LILAMA
by Khanh Viet Tran & Cuong Hung Pham & Long Pham - 121-128 Service Quality and Students Level of Satisfaction in Private Colleges in Vietnam
by Hung Van Truong & Cuong Hung Pham & Nhan Hoang Vo
April 2016, Volume 7, Issue 2
- 1-10 Linking Quality Management Practices and Effective Knowledge Integration to New Product Development (NPD): An Empirical Study of Saudi-firms
by Abdullah Mohammed Aldakhil - 11-17 The Monthly Effect and the Day of the Week Effect in the American Stock Market
by Bing Xiao - 18-29 Comparison of the Effectiveness of Audit Committees in the UK and Turkish Banks
by Nizamulmulk Gunes & M. Serkan Atilgan - 30-38 The Importance of Being Steve: An Econometric Analysis of the Contribution of Steve Jobs¡¯s Patents to Apple¡¯s Market Valuation
by Daniel K.N. Johnson & Sylvie Scowcroft - 39-52 Are Institutional Investors Beneficial to Family Firm Performance? Evidence from the French Stock Exchange
by Olivier Colot & Jonathan Bauweraerts - 53-63 Relationship between Bank Credit and Economic Growth: Evidence from Jordan
by Izz Eddien N. Ananzeh - 64-72 Managing Risk in Livestock Farming: The Role of Insurance Companies
by Sanam Jokhio & Muhammad Moinuddin Qazi Abro & Lamya Alaali - 73-83 Will the Information Disclosure Quality Reduce the Executives¡¯ Excess Perks? - Evidence from China
by Han Li - 84-92 Is ¡®Excess¡¯ Board Independence Good for Firm Performance? An Empirical Investigation of Non-financial Listed Firms in Saudi Arabia
by Basmah Altuwaijri & Lakshmi Kalyanaraman - 93-97 Testing Explanatory Power of Two Behavioral Models for Price Continuation
by Hsiao-Peng Fu - 98-121 Forecasting Portfolio Balance Using Return Mean, Standard Deviation and Spending
by Jeffry Haber & Andrew Braunstein - 122-133 Hysteresis Effect on Unemployment for Men and Women: A Panel Unit Root Test for OECD Countries
by Selahattin Bekmez & Asli Ozpolat - 134-146 The Effects of Tariff Policy under the Fixed Exchange Rate Regime
by Chung-Fu Lai - 147-153 Predicting Bankruptcy in Private Firms: Towards a Stepwise Regression Procedure
by Jonathan Bauweraerts - 154-162 The Impact of External Debt and Foreign Direct Investment on Economic Growth: Empirical Evidence from Tanzania
by Moga Tano Jilenga & Helian Xu & Igor-Mathieu Gondje-Dacka - 163-170 ¡°Impact of EXPO 2020 on Dubai Financial Market¡± ¨C An Event Study on Banks, Investment and Insurance Sectors
by Ganga Bhavani & Sai Geetha Kukunuru - 171-182 An Empirical Research on Investor Biases in Financial Decision-Making, Financial Risk Tolerance and Financial Personality
by Bilgehan K¨¹bilay & Ali Bayrakdaroglu - 183-188 The Role of Industry Effect and Market States in Taiwanese Momentum
by Hsiao-Peng Fu - 189-201 Emerging Equity Markets Connectedness, Portfolio Hedging Strategies and Effectiveness
by Nizar Harrathi & Chaker Aloui & Mohamed Ali Houfi & Jihed Majdoub - 202-213 The Effects of Foreign and Illegal Labourers Phenomenon on the Availability of Employment Opportunities for the Saudi Youth in the City of Jeddah
by Nayef Al-Ghamri - 214-224 The Teaching of Financial Services Regulation: A Contextual View
by John. A. Consiglio - 225-232 Does Size Favor Dividends or Retained Earnings?
by Bashar K Abu khalaf - 233-246 Investigating the Determinants of Inflation: A Panel Data Analysis
by Pinar Deniz & Mahmut Tekce & Ahmet Yilmaz - 247-255 Relationship between Board Remuneration and Financial Performance in the Kenyan Financial Services Industry
by Rita Ruparelia & Amos Njuguna
January 2016, Volume 7, Issue 1
- 1-8 Cross-cultural Differences in Interpreting IAS 37 Probability Phrases
by Ning Du & Kevin Stevens & John Ahern & Anton Shigaev - 9-17 An Investigation of the Recent Linkages of Consumer Prices in Japan
by Chikashi Tsuji - 18-32 Changes in the Number of Varieties, Consumption Home Bias and Long-Run Macroeconomic Fluctuations
by Chung-Fu Lai - 33-38 Loan as a Durable Good and Bank Indirect-Tax Incidence
by Gerasimos T. Soldatos & Erotokritos Varelas - 39-49 Risk Classification in Natural Catastrophe Insurance: The Case of Italy
by Donatella Porrini - 50-56 An Assessment on Graham¡¯s Approach for Stock Selection: The Case of Turkey
by Nuray Terzi - 57-65 La Dolce Vita in Japan: The Effect of Bank Mergers on Corporate Governance
by Heather Montgomery & Yuki Takahashi - 66-74 Effects of Financial Crisis on Capital Structure of Listed Firms in Vietnam
by Truong Hong Trinh & Nguyen Thao Phuong - 75-85 An Empirical Investigation into the Applicability of Fama-French Three Factor Model in Explaining Portfolio Returns: Evidence from Non-Financial Firms on the Ghana Stock Exchange
by Prince Acheampong & Sydney Kwesi Swanzy
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