Content
2020, Volume 4, Issue 1
- 1-14 Trade Liberalization and International Trade: A Case Study of China
by Adel Shakeeb MOHSEN - 15-54 Determinants of Inflationary Experience in Ethiopia
by Teshale D. BEDADA & Wondaferahu M. DEMISSIE & Endeg T. WOLDE - 55-77 Finance-Growth Nexus and Globalization in Brazil, India, Philippines, Thailand, and Turkey: Evidence from VECM Cointegration Analysis
by Takashi FUKUDA - 79-97 Does Corporate Governance Mechanisms Matter in Explaining Risk Management? Evidence from Non-Financial Kenyan Listed Firms
by Thomas Kiptanui TARUS
2019, Volume 3, Issue 2
- 23-39 Does Portfolio Quality Influence Financial Sustainability? A Case of Microfinance Institutions in Kenya
by Stephen Kosgei BITOK & Josephat CHEBOI & Ambrose KEMBOI - 85-112 Foreign Remittances, Private Sector Investment and Banking Sector Development
by Peter Nderitu GITHAIGA
2019, Volume 3, Issue 1
- 1-26 Analysis of Equity Beta Components: New Results and Prospectives in a Low Beta Framework
by Antonio Amendola & Dennis M. Montagna & Mario Maggi - 27-45 Implication of Credit Supervision Practices on Portfolio at risk of Microfinance Institutions in Tanzania
by Danstun B. Ngonyani & Harun J. Mapesa - 47-70 Measuring Predictability of Oil and Gas Stock Returns and Performance of Moving Average Trading Rules
by Muhammad Surajo Sanusi & Farooq Ahmad - 71-85 A Modified Risk Parity Method for Asset Allocation
by Akhilesh Maewal & Joel R. Bock - 87-115 The causality between Financial Development and Economic Growth in Ethiopia: Supply Leading vs Demand Following Hypothesis
by Tekilu Tadesse & Jemal Abafia
2018, Volume 2, Issue 2
- 1-27 Factors Influencing Cryptocurrency Prices: Evidence from Bitcoin, Ethereum, Dash, Litcoin, and Monero
by Yhlas Sovbetov - 29-59 Differential Investors Response to Restatement Announcements: An Empirical Investigation
by Sebahattin Demirkan & Harlan Platt - 61-85 The determinants of Bank Profitability: Does Liquidity Creation matter?
by Ahmad Sahyouni & Man Wang - 87-103 Interest Rate Swaptions: A Review and Derivation of Swaption Pricing Formulae
by Nicholas Burgess - 105-120 Nonparametric NAR-ARCH Modelling of Stock Prices by the Kernel Methodology
by Mohamed Chikhi & Ali Bendob
2018, Volume 2, Issue 1
- 1-44 Financial Contagion in the BRICS Stock Markets: An empirical analysis of the Lehman Brothers Collapse and European Sovereign Debt Crisis
by Dirceu Pereira - 45-68 Impact of Health Care Employees Job Satisfaction on Organizational Performance Support Vector Machine Approach
by Cemil Kuzey - 69-98 Nonprofit Organizations in Disaster Response and Management: A Network Analysis
by Naim Kapucu & Farhod Yuldashev & Mary Ann Feldheim - 99-128 A Study on Regime Type and Globalization in Simultaneous Equation Framework
by Sudhanshu K. Mishra - 129-149 Does it take two to tango: Interaction between Credit Default Swaps and National Stock Indices
by Yhlas Sovbetov & Hami Saka
2017, Volume 1, Issue 2
- 1-16 Determinants of Industrial Production in Turkey
by Mustafa Ozturk & Yavuz Agan - 17-47 Message Oriented Approach to WOM Effects in Service Industries
by Mustafa Dilber & Lokman Incirkus - 49-69 The Long-Term Impact of Educational and Health Spending on Unemployment Rates
by Zafer Pirim & William A. Owings & Leslie S. Kaplan - 71-88 Can Management Practices Make a Difference? Nonprofit Organization Financial Performance during Times of Economic Stress
by Qian Hu & Naim Kapucu
2017, Volume 1, Issue 1
- 1-13 Does Statistical Significance Help to Evaluate Predictive Performance of Competing Models?
by Levent Bulut - 15-34 Global Credit Supply and External Exposure in Turkey
by Amira Karimova & Ahmet Caliskan & Jamshid Karimov - 35-58 Launch Decisions of Pharmaceutical Companies
by Abdulkadir Civan & Michael Maloney - 59-80 Interaction of Economic Freedom and Foreign Direct Investment Globally: Special Cases from Neglected Regions
by Yhlas Sovbetov & Mohamed Moussa - 81-115 Inequality and Sovereign Default under Democracy
by Yong Kyun Kim