Content
December 2017, Volume 3, Issue 1
- 1-1 Erratum to: Analysis on the influence factors of Bitcoin’s price based on VEC model
by Yechen Zhu & David Dickinson & Jianjun Li - 1-1 Erratum to: Overview of business innovations and research opportunities in blockchain and introduction to the special issue
by J. Leon Zhao & Shaokun Fan & Jiaqi Yan - 1-2 Editor’s Introduction
by Gang Kou - 1-2 Editor’s Introduction
by Gang Kou - 1-2 Editor’s introduction
by J. Leon Zhao - 1-4 Introduction to the special issue on Crowdfunding and FinTech
by Yue Ma & De Liu - 1-8 Baidu index and predictability of Chinese stock returns
by Dehua Shen & Yongjie Zhang & Xiong Xiong & Wei Zhang - 1-9 Economic outlook of rice crops in Pakistan: a time series analysis (1970–2015)
by Abdul Rehman & Luan Jingdong & Abbas Ali Chandio & Muhammad Shabbir & Imran Hussain - 1-10 Optimal stopping investment in a logarithmic utility-based portfolio selection problem
by Xun Li & Xianping Wu & Wenxin Zhou - 1-12 Value investing or investing in illiquidity? The profitability of contrarian investment strategies, revisited
by Aron A. Gottesman & Gady Jacoby & Huijing Li - 1-12 Financial innovation and its governance: Cases of two major innovations in the financial sector
by Keren Naa Abeka Arthur - 1-12 The evolution and cross-section of the day-of-the-week effect
by Shlomo Zilca - 1-12 Dynamics of oil price shocks and stock market behavior in Pakistan: evidence from the 2007 financial crisis period
by Khalil Jebran & Shihua Chen & Gohar Saeed & Alam Zeb - 1-12 Determinants of loan repayment among agricultural microcredit finance group members in Delta state, Nigeria
by Solomon Enimu & Emmanuel O. Eyo & Eucharia A. Ajah - 1-13 Analysis on the influence factors of Bitcoin’s price based on VEC model
by Yechen Zhu & David Dickinson & Jianjun Li - 1-14 Teaching programming skills to finance students: how to design and teach a great course
by Yuxing Yan - 1-16 The transition from traditional banking to mobile internet finance: an organizational innovation perspective - a comparative study of Citibank and ICBC
by Zhuming Chen & Yushan Li & Yawen Wu & Junjun Luo - 1-16 The impact of FinTech start-ups on incumbent retail banks’ share prices
by Yinqiao Li & Renée Spigt & Laurens Swinkels - 1-17 Monetary and fiscal factors in nominal interest rate variations in Sri Lanka under a deregulated regime
by Biswajit Maitra - 1-18 Influence of meditation on estate planning decisions: evidence from Indian survey data
by Amarjit Gill & Harvinder S. Mand & John D. Obradovich & Neil Mathur - 1-18 Internet big data and capital markets: a literature review
by Minjian Ye & Guangzhong Li - 1-18 Market efficiency of gold exchange-traded funds in India
by Rupel Nargunam & N. Anuradha - 1-18 Financial sector development and economic growth: evidence from Cameroon
by Janice Tieguhong Puatwoe & Serge Mandiefe Piabuo - 1-19 Modeling and forecasting exchange rate volatility in Bangladesh using GARCH models: a comparison based on normal and Student’s t-error distribution
by S. M. Abdullah & Salina Siddiqua & Muhammad Shahadat Hossain Siddiquee & Nazmul Hossain - 1-21 Day-of-the-week returns and mood: an exterior template approach
by Shlomo Zilca - 1-22 Derived signals for S & P CNX nifty index futures
by B. Prasanna Kumar - 1-22 Interdependence between the stock market and the bond market in one country: evidence from the subprime crisis and the European debt crisis
by Ke Cheng & Xiaoguang Yang - 1-23 The volatility of returns from commodity futures: evidence from India
by Isita Mukherjee & Bhaskar Goswami - 1-24 Performance evaluation of series and parallel strategies for financial time series forecasting
by Mehdi Khashei & Zahra Hajirahimi - 1-24 Financial innovation and economic growth in Bangladesh
by Md. Qamruzzaman & Wei Jianguo - 1-24 Short-term and long-term Interconnectedness of stock returns in Western Europe and the global market
by Ajaya Kumar Panda & Swagatika Nanda - 1-24 Insurance market density and economic growth in Eurozone countries: the granger causality approach
by Rudra P. Pradhan & Saurav Dash & Rana Pratap Maradana & Manju Jayakumar & Kunal Gaurav - 1-25 Diversification, bank performance and risk: have Tunisian banks adopted the new business model?
by Helmi Hamdi & Abdelaziz Hakimi & Khemais Zaghdoudi - 1-30 At what levels of financial development does information sharing matter?
by Simplice A. Asongu & Jacinta C. Nwachukwu
December 2016, Volume 2, Issue 1
- 1-1 Editor’s introduction
by Gang Kou - 1-2 Editor’s introduction
by Gang Kou - 1-5 A maturity model for blockchain adoption
by Huaiqing Wang & Kun Chen & Dongming Xu - 1-6 Borrower’s default and self-disclosure of social media information in P2P lending
by Ruyi Ge & Juan Feng & Bin Gu - 1-7 Overview of business innovations and research opportunities in blockchain and introduction to the special issue
by J. Leon Zhao & Shaokun Fan & Jiaqi Yan - 1-8 A new proof-of-work mechanism for bitcoin
by Ning Shi - 1-8 Team rivalry and lending on crowdfunding platforms: an empirical analysis
by Ling Ge & Xuechen Luo - 1-9 Cashless payment and economic growth
by Hock-Han Tee & Hway-Boon Ong - 1-9 Blockchain-based sharing services: What blockchain technology can contribute to smart cities
by Jianjun Sun & Jiaqi Yan & Kem Z. K. Zhang - 1-9 Are blockchains immune to all malicious attacks?
by Jennifer J. Xu - 1-10 Fraud detections for online businesses: a perspective from blockchain technology
by Yuanfeng Cai & Dan Zhu - 1-10 A group consensus model for evaluating real estate investment alternatives
by Wenshuai Wu & Gang Kou - 1-11 Franchise ownership redirection: real options perspective
by Lukito Adi Nugroho - 1-11 Analysis and outlook of applications of blockchain technology to equity crowdfunding in China
by Huasheng Zhu & Zach Zhizhong Zhou - 1-11 Causality between bank’s major activities and economic growth: evidences from Pakistan
by Saba Mushtaq - 1-12 Consumer use intention of online financial products: the Yuebao example
by Huosong Xia & Zhe Hou - 1-12 Blockchain application and outlook in the banking industry
by Ye Guo & Chen Liang - 1-13 Loan growth and bank solvency: evidence from the Pakistani banking sector
by Muhammad Kashif & Syed Faizan Iftikhar & Khurram Iftikhar - 1-13 Developing a prediction model for customer churn from electronic banking services using data mining
by Abbas Keramati & Hajar Ghaneei & Seyed Mohammad Mirmohammadi - 1-14 Government-incentivized crowdfunding for one-belt, one-road enterprises: design and research issues
by Chang Heon Lee & J. Leon Zhao & Ghazwan Hassna - 1-14 Complex derivatives valuation: applying the Least-Squares Monte Carlo Simulation Method with several polynomial basis
by Ursula Silveira Monteiro de Lima & Carlos Patricio Samanez - 1-14 Effect of interest rate on economic performance: evidence from Islamic and non-Islamic economies
by Saba Mushtaq & Danish Ahmed Siddiqui - 1-16 FinTech in Taiwan: a case study of a Bank’s strategic planning for an investment in a FinTech company
by Jui-Long Hung & Binjie Luo - 1-16 Determinants of private sector credit in Uganda: the role of mobile money
by Dorothy Nampewo & Grace Ainomugisha Tinyinondi & Duncan Roy Kawooya & George Wilson Ssonko - 1-16 The FinTech phenomenon: antecedents of financial innovation perceived by the popular press
by Liudmila Zavolokina & Mateusz Dolata & Gerhard Schwabe - 1-18 Pure and hybrid crowds in crowdfunding markets
by Liang Chen & Zihong Huang & De Liu - 1-19 Performance and capital structure of IPOs in Pakistan from 2000 to 2015
by Attiya Yasmin Javid & Henna Malik - 1-20 Dynamics of volatility spillover between stock market and foreign exchange market: evidence from Asian Countries
by Khalil Jebran & Amjad Iqbal - 1-26 Understanding cashless payments in India
by Bappaditya Mukhopadhyay - 1-26 Early exercise premium method for pricing American options under the J-model
by Yacin Jerbi - 1-28 Re-estimation and comparisons of alternative accounting based bankruptcy prediction models for Indian companies
by Bhanu Pratap Singh & Alok Kumar Mishra
December 2015, Volume 1, Issue 1
- 1-1 Editor’s introduction
by Gang Kou - 1-2 Editor’s Introduction
by Gang Kou - 1-8 A process model on P2P lending
by Huaiqing Wang & Kun Chen & Wei Zhu & Zhenxia Song - 1-9 Systemic risk management and investment analysis with financial network analytics: research opportunities and challenges
by Daning Hu & Gerhard Schwabe & Xiao Li - 1-11 How signaling and search costs affect information asymmetry in P2P lending: the economics of big data
by Jiaqi Yan & Wayne Yu & J. Leon Zhao - 1-11 Exploring the critical factors influencing online lending intentions
by Peng Wang & Haichao Zheng & Dongyu Chen & Liangchao Ding - 1-12 Volatility spillover effect between financial markets: evidence since the reform of the RMB exchange rate mechanism
by Zhengde Xiong & Lijun Han - 1-12 Invigorating foreign aid administration: remittances’ strategy, pro-poor and gender focus
by Adebayo Adedokun - 1-13 Determining pledged loan-to-value ratio: an option pricing perspective
by Ran Zhang & Jing Zhang & Shuang Xu - 1-14 Heterogeneous expectations, IPO Underpricing and issuing mechanism
by Xiao-cheng Zhang & Miaomiao Zhang & Shao-an Huang & Yongsheng Zhou - 1-17 Performance of Islamic and conventional stock indices: empirical evidence from an emerging economy
by Md Ejaz Rana & Waheed Akhter - 1-18 Social credit: a comprehensive literature review
by Lean Yu & Xinxie Li & Ling Tang & Zongyi Zhang & Gang Kou - 1-18 Value of big data to finance: observations on an internet credit Service Company in China
by Shaofeng Zhang & Wei Xiong & Wancheng Ni & Xin Li - 1-20 The information content of financial survey response data
by J Christopher Westland - 1-20 Economics of eBay’s buyer protection plan
by J. Christopher Westland - 1-21 A credit risk assessment model based on SVM for small and medium enterprises in supply chain finance
by Lang Zhang & Haiqing Hu & Dan Zhang - 1-24 Harnessing Internet finance with innovative cyber credit management
by Zhangxi Lin & Andrew B. Whinston & Shaokun Fan - 1-27 Will high-frequency trading practices transform the financial markets in the Asia Pacific Region?
by Robert J. Kauffman & Yuzhou Hu & Dan Ma - 1-31 Cash holdings, corporate governance, and acquirer returns
by Seoungpil Ahn & Jaiho Chung
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