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Issue |
Title |
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Vol 5, No 4 (2014) |
A Barrier Option Utility Framework for Bank Interest Margin under Government Bailout |
Abstract
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Ku-Jun Lin, Rosemary Jou, Tzu-Hao Lin |
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Vol 10, No 5 (2019) |
A Case Study Analysis of Typhidot: An Example of Market-Oriented R&D Commercialization in Malaysia |
Abstract
PDF
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Baharudin Kadir, Mohd Farid Shamsudin |
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Vol 7, No 1 (2016) |
A Collective Consideration of the EU’s Capital Market Legislation |
Abstract
PDF
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John A. Consiglio |
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Vol 8, No 4 (2017) |
A Comparative Analysis of Four-Factor Model and Three-Factor Model in the Nigerian Stock Market |
Abstract
PDF
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Esther Ikavbo Evbayiro-Osagie, Ifuero Osad Osamwonyi |
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Vol 10, No 5 (2019) |
A Conceptual Paper on SERVQUAL-Framework for Assessing Quality of Internet of Things (IoT) Services |
Abstract
PDF
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Sheikh Muhammad Hizam, Waqas Ahmed |
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Vol 10, No 5 (2019) |
A Conceptual Study on Contingent Impact of External Integration on Innovation Sme Business Success Relationship |
Abstract
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Sheikh Muhamad Hizam Sheikh Khairuddin, Zuhaib Hassan Qureshi, Rosni Ab. Wahid, Shehnaz Tehseen, Zulfiqar Hussain Pathan, Mohammad Rafat Khan |
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Vol 10, No 5 (2019) |
A Conceptualization of the Effect of Organisational Justice on Turnover Intention: The Mediating Role of Organisational Citizenship Behaviour |
Abstract
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Oussama Saoula, Muhammad Fareed, Saiful Azizi Ismail, Nurul Sharniza Husin, Rawiyah Abd Hamid |
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Vol 7, No 3 (2016) |
A Critical Analysis of the Value Chain in the Rice Industry and Its Effects on the Export Rice Industry in Kien Giang Province, Vietnam |
Abstract
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Van Ngoc Bach, Cuong Hung Pham, Nhan Hoang Vo |
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Vol 11, No 2 (2020) |
A Decade After the Global Financial Crisis: Lessons and Policy for International Stability |
Abstract
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Anjali Karol |
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Vol 11, No 1 (2020) |
A Descriptive Analysis of IPOs Post Listing Liquidity in Malaysia |
Abstract
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Amal Mohammed Al-Masawa, Rasidah Mohd-Rashid, Hamdan Amer Al-Jaifi |
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Vol 3, No 2 (2012) |
A Dialectic Model of Development of Stakeholders’ Theory and Corporate Governance: from Hume Utilitarianism to Aristotelian Virtue Ethics |
Abstract
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S. Morteza Ghayour B., Meysam Doaei |
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Vol 11, No 5 (2020) |
A Formalized Assessment of the Scenario Development of the National Economy in the Context of the Penetration of Blockchain Technologies Into the Financial Sector of Transactions |
Abstract
PDF
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Marat Rashitovich Safiullin, Leonid Alekseevich Elshin, Alia Aidarovna Abdukaeva, Maxim Vladimirovich Savushkin |
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Vol 5, No 3 (2014) |
A Game Theoretic Model of Deposit Contracts between the Bank and the Depositor - Extend Study on the Economic Analysis of Bank Run |
Abstract
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Jue-Shyan Wang, Chiao-Hsin Lin |
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Vol 12, No 5 (2021) |
A General and Theoretical FX Model for the Multi-Currency Basket: Economic, Financial and Mathematical Approach |
Abstract
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Amine El Bied |
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Vol 4, No 4 (2013) |
A Generalized Autoregressive Conditional Heteroskedasticity Model of the Impact of Macroeconomic Factors on Stock Returns: Empirical Evidence from the Nigerian Stock Market |
Abstract
PDF
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Emeka Nkoro, Aham Kelvin Uko |
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Vol 12, No 5 (2021) |
A Hybrid Model to Alleviate Unemployment and Poverty in South Africa |
Abstract
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P. C. Enwereji, D. E. Uwizeyimana |
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Vol 14, No 1 (2023) |
A Longitudinal Study of Sales-Based Investment and Leverage Decisions |
Abstract
PDF
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Rihab Belguith, Fathi Abid |
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Vol 14, No 3 (2023) |
A Model of Uniformity in a Preference Function |
Abstract
PDF
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Partha Pratim Dube |
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Vol 5, No 3 (2014) |
A Note on a New Weighted Idiosyncratic Risk Measure |
Abstract
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Yin-Ching Jan |
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Vol 5, No 4 (2014) |
A Note on Bank Default Risk and Delivery Channel Strategy under Deposit Insurance Fund Protection |
Abstract
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Shi Chen, Chuen-Ping Chang, Kevin P. Keh |
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Vol 8, No 4 (2017) |
A Proposed Courses Structure for the Preparatory College Year |
Abstract
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Mohammed H. S. Al Ashry (Ashry) |
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Vol 8, No 4 (2017) |
A Proposed Investment on a University Campus |
Abstract
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Mohammed H. S. Al Ashry |
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Vol 8, No 4 (2017) |
A Psychometric Evaluation of Skill Clusters and Practices Used by Highly Effective Executive Presenters |
Abstract
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Augustine C. Arize, Scott Liu, Solomon Nyaanga, John Malindretos |
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Vol 8, No 3 (2017) |
A Robust Newcomb-Benford Account Screening Profiler: An Audit Decision Support System |
Abstract
PDF
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Frank Heilig, Edward J. Lusk |
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Vol 7, No 1 (2016) |
A Robust Set of Indicators for the Financial Stress and Financial Stability: Taiwan’s Case Studies |
Abstract
PDF
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Chau-Jung Kuo, Yu-Wei Li, Li-Hua Lai |
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Vol 11, No 3 (2020) |
A Social Entrepreneurship Case Study of the “Pertubuhan Kebajikan Anak Yatim Islam Segamat” Orphanage in Malaysia |
Abstract
PDF
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Saunah Zainon, Rina Fadhilah Ismail, Soo Kum Yoke, Haryati Ahmad, Nurulzulaiha Saudah Suhadak |
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Vol 10, No 5 (2019) |
A Study of Accounting Outsourcing Decision: The Case of Malaysian SMEs |
Abstract
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Gholamreza Zandi, Thee Kok Chuan, Shaheen Mansori |
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Vol 5, No 4 (2014) |
A Study of the Effect of Macroeconomic Variables on Stock Market: Saudi Perspective |
Abstract
PDF
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Durga Prasad Samontaray, Sultan Nugali, Bokkasam Sasidhar |
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Vol 10, No 2 (2019) |
A Study on How Development Finance Institutions Support SMEs: A Case Study of International Finance Corporation |
Abstract
PDF
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Adjei Gyamfi Gyimah, Annette Serwaa Agyeman |
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Vol 6, No 2 (2015) |
A Study on the Main Determination of Mortgage Risk: Evidence from Reverse Mortgage Markets |
Abstract
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Chien-Chiang Lee, Kuo-Shing Chen, David So-De Shyu |
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Vol 6, No 1 (2015) |
A Study to Check the Applicability of Fama and French, Three-Factor Model on KSE 100-Index from 2004-2014 |
Abstract
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Nahzat Abbas, Jahanzeb Khan, Rabia Aziz, Zain Sumrani |
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Vol 4, No 2 (2013) |
A Study to Examine Time-Varying Effectiveness of Stock Returns on Tehran Stock Exchange |
Abstract
PDF
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Rahele SiamiNamini, Fereydoun RahnamaRoudposhti, Mohammad.H Janani |
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Vol 12, No 4 (2021) |
A Systematic Literature Review on Critical Thinking in an Undergraduate Accounting Programme |
Abstract
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Lilian Ifunanya Nwosu, Hester Vorster |
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Vol 12, No 4 (2021) |
A Systematic Literature Review on Mergers and Acquisitions: A Bibliometric Analysis Approach |
Abstract
PDF
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Godswill Osagie Osuma, Ochei Ailemen Ikpefan, Olawale Yinusa Olonade, Abimbola Abosede Joshua |
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Vol 11, No 2 (2020) |
A Test of Return Predictability in the Vietnamese Stock Market |
Abstract
PDF
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Thanh Trung Le, Anh Tram Luong |
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Vol 8, No 4 (2017) |
A Time Series Analysis of Major Indexes Using GARCH Model with Regime Shifts |
Abstract
PDF
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S. Aun Hassan |
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Vol 14, No 2 (2023) |
Abnormal Returns From Hedging, Firm Size, and the Fama and French Multifactor Models |
Abstract
PDF
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James M. Nelson |
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Vol 11, No 1 (2020) |
Academic Cheating and Characteristics of Accounting Students |
Abstract
PDF
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Nur Sayidah, Sulis Janu Hartati, Muhajir Muhajir |
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Vol 10, No 4 (2019) |
Accountants’ Perception on the Factors Affecting the Adoption of International Financial Reporting Standards in Yemen |
Abstract
PDF
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Mujeeb Saif Mohsen Al-Absy, Ku Nor Izah Ku Ismail |
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Vol 10, No 1 (2019) |
Accounting Conservatism and Performance of Nigerian Consumer Goods Firms’: An Examination of the Role of Accruals |
Abstract
PDF
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David Okelue Ugwunta, Boniface Uche Ugwuanyi |
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Vol 7, No 4 (2016) |
Accounting Conservatism Trends and Financial Distress: Considering the Endogeneity of the C-Score |
Abstract
PDF
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Hui-Sung Kao, Pei-Jhen Sie |
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Vol 12, No 1 (2021) |
Accreditation of Tour Guides: The World Experience and the Implementation in Russian Hospitality Industry |
Abstract
PDF
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Oleg Aleksandrovich Bunakov, Liudmila Valerievna Semenova, Firuz Fakhritdinovich Zokhidov, Boris Mojshevich Eidelman |
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Vol 11, No 1 (2020) |
Advocacy of Competition in the Mechanism of State Regulation of the Economy |
Abstract
PDF
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Olga Bakalinska, Olena Belianevych, Olena Honcharenko |
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Vol 4, No 2 (2013) |
Allocation of Assets on the Ghana Stock Exchange (GSE) |
Abstract
PDF
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Lord Mensah, R. K. Avuglah, Vincent Dedu |
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Vol 10, No 6 (2019) |
An Agency Perspective on Firm Diversification, Efficiency and Performance: Evidence From Malaysia |
Abstract
PDF
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Sin-Huei Ng, Tze San Ong, Boon Heng Teh |
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Vol 10, No 4 (2019) |
An Analysis of Behavioral Biases in Investment Decision-Making |
Abstract
PDF
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Geetika Madaan, Sanjeet Singh |
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Vol 11, No 4 (2020) |
An Analysis of Mutual Fund Managers’ Timing Abilities - Evidence From Chinese Equity Funds |
Abstract
PDF
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Jun-Hao Li, Chun-Fan You |
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Vol 12, No 5 (2021) |
An Analysis of the Aspects Hampering Informal Sector Tax Administration: Case of the Zimbabwe Revenue Authority |
Abstract
PDF
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Adegbola Otekunrin, Kudzanai Matowanyika, Chena Tafadzwa |
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Vol 5, No 2 (2014) |
An Analysis of the Relationship between the Finance and the Economic Growth of Counties in China's Shandong Province |
Abstract
PDF
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Lei Zhang |
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Vol 7, No 1 (2016) |
An Analysis on the Behaviour of Corporate Social Responsibility towards Profitability of Islamic Banks: Asean and Europe |
Abstract
PDF
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Akhmad Affandi Mahfudz, Muhammad Safizal Abdullah, Arman Hadi Abdul Manaf, Abdullah Osman |
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Vol 7, No 1 (2016) |
An Assessment on Graham’s Approach for Stock Selection: The Case of Turkey |
Abstract
PDF
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Nuray Terzi |
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Vol 12, No 1 (2021) |
An Early Warning Signal (EWS) Model for Predicting Financial Crisis in Emerging African Economies |
Abstract
PDF
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Kehinde Damilola Ilesanmi, Devi Datt Tewari |
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Vol 12, No 2 (2021) |
An Empirical Analysis of Macroeconomic and Bank-Specific Factors Affecting Bank Deposits in Vietnam |
Abstract
PDF
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Vu Thi Phuong Thao, Le Trung Thanh |
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Vol 14, No 2 (2023) |
An Empirical Analysis of Private Equity, Listed Private Equity and Public Equity |
Abstract
PDF
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Ernst Fahling, Celina Funfgeld, Robert Kelm |
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Vol 9, No 2 (2018) |
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 |
Abstract
PDF
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Jialin Li, Siying Li |
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Vol 7, No 5 (2016) |
An Empirical Analysis of Volatility Characteristics of Inter-Bank Offered Rate of International Financial Centers |
Abstract
PDF
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Maoguo Wu, Xin Luo |
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Vol 7, No 1 (2016) |
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 |
Abstract
PDF
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Prince Acheampong, Sydney Kwesi Swanzy |
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Vol 11, No 2 (2020) |
An Empirical Model of Indian Foreign Investment and Stock Market Volatility: Evidence From ARDL Bounds Testing Analysis |
Abstract
PDF
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Amar Singh, Arvind Mohan |
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Vol 7, No 2 (2016) |
An Empirical Research on Investor Biases in Financial Decision-Making, Financial Risk Tolerance and Financial Personality |
Abstract
PDF
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Bilgehan Kubilay, Ali Bayrakdaroglu |
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Vol 10, No 5 (2019) |
An Empirical Study in Human Resource Management to Optimize Malaysian School Counselling Department |
Abstract
PDF
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Gholamreza Zandi, Ananda Devan Sivalingam, Shaheen Mansori |
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Vol 4, No 3 (2013) |
An Empirical Study of Asymmetric Pricing in Retail Gasoline and Diesel Markets in Taiwan, Japan, South Korea, and Singapore |
Abstract
PDF
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Kuo-Wei Chou, Chin-Yuen Chang, Fei Hu |
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Vol 3, No 4 (2012) |
An Empirical Study on the Effects of Real Effective Exchange Rate on Algeria’s Trade Balance |
Abstract
PDF
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Yasmina Guechari |
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Vol 2, No 2 (2011) |
An Empirical Study on the Relationship between Foreign Investment and International Trade in Bangladesh |
Abstract
PDF
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Mohammad Zillur Rahman |
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Vol 6, No 2 (2015) |
An Evaluation of the Financial Performance of REITs in Borsa Istanbul: A Case Study Using the Entropy-Based TOPSIS Method |
Abstract
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Mehmet Islamoglu, Mehmet Apan, Ahmet Oztel |
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Vol 11, No 4 (2020) |
An Event Study Analysis of Thailand’s 2019 General Election: A Long Window of Multiple Sub-events |
Abstract
PDF
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Anya Khanthavit |
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Vol 12, No 2 (2021) |
An Examination Into the Causal Links Among Inward FDI Determinants: Empirical Evidence From Jordan |
Abstract
PDF
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Mohamed Ibrahim Mugableh |
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Vol 7, No 4 (2016) |
An Examination of the Relationship of Corporate Governance to Firm Performance: Empirical Evidence from Vietnamese Listed Companies |
Abstract
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Nguyen Ngoc Dieu Le, Nguyen Ngoc Dieu Thi |
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Vol 5, No 1 (2014) |
An Explanation for the Paradox Phenomenon in Taiwan’s Bank Performances |
Abstract
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Ming-Chung Chang |
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Vol 10, No 2 (2019) |
An Extended Stochastic Goal Mixed Integer Programming for Optimal Portfolio Selection in the Amman Stock Exchange |
Abstract
PDF
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Rula Hani Salman AlHalaseh, Aminul Islam, Rosni Bakar |
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Vol 10, No 4 (2019) |
An Introduction to Quantum Computers and Their Effect on Banking Institutions |
Abstract
PDF
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Tae L. Aderman |
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Vol 7, No 1 (2016) |
An Investigation of the Recent Linkages of Consumer Prices in Japan |
Abstract
PDF
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Chikashi Tsuji |
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Vol 9, No 3 (2018) |
Analysis Grid of Adjustment Strategies of Non-profit Organizations Benefiting From Microcredit to the Constraints of Microfinance Institutions: The Case of Burundi |
Abstract
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Marie-Goreth Nduwayo, Michel Sayumwe |
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Vol 10, No 3 (2019) |
Analysis of Abnormal Operating Performance Between Family Owned Firms and State Owned Firms in Indonesia and Malaysia |
Abstract
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Citra Sukmadilaga, Erlane K Ghani |
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Vol 11, No 5 (2020) |
Analysis of Audit Opinion of Financial Statements From State Institutions: Indonesia Empirical Study, Period 2012-2017 |
Abstract
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Fransisca Listyaningsih Utami, Yananto Mihadi Putra, Putri Renalita Sutra Tanjung, Lucky Nugroho |
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Vol 11, No 1 (2020) |
Analysis of Company Characteristics of Firm Values: Profitability as Intervening Variables |
Abstract
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M. Chabachib, Hersugondo Hersugondo, Erna Ardiana, Imang Dapit Pamungkas |
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Vol 10, No 5 (2019) |
Analysis of Distribution Information System of Rice Supply Chain Management at PT. Jatisari Sri Rejeki |
Abstract
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Parlindungan Harahap, R. A. E. Virgana, Wiwik Tri Hapsari, Tezza Adriansyah Anwar |
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Vol 10, No 2 (2019) |
Analysis of Factors Influencing Financial Performance of Savings and Credit Co-operative Societies in Lesotho: Evidence From Maseru District |
Abstract
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Goodluck A. Mmari, Lebitso C. Thinyane |
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Vol 11, No 5 (2020) |
Analysis of Fraudulent Financial Reporting With the Role of KAP Big Four as a Moderation Variable: Crowe's Fraud's Pentagon Theory |
Abstract
PDF
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Maylia Pramono Sari, Nindya Pramasheilla, Fachrurrozie -, Trisni Suryarini, Imang Dapit Pamungkas |
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Vol 11, No 5 (2020) |
Analysis of Impact of Non-financial Information Disclosure on Capitalization of Russian Oil and Gas Sector Companies |
Abstract
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Elena Vetoshkina, Anna Ivanovskaya, Elvira Kazykhanova, Natalia Semenikhina |
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Vol 12, No 2 (2021) |
Analysis of Macroeconomic Determinants of Peruvian Gold Export Value in the Period 2003-2019 |
Abstract
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Carlos Alberto Tovar Jaco, Madeleyne Karol Mucha Alhuay, Pedro Bernabe Venegas Rodriguez, Nivardo Alonzo Santillan Zapata, Jimmy Alberth Deza Quispe |
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Vol 7, No 1 (2016) |
Analysis of Regional Supporting Force for the Development of Industrial Area in Order to Improve Regional Income in East Java, Indonesia |
Abstract
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Sugeng Hadi Utomo |
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Vol 12, No 1 (2021) |
Analysis of Zakat Accounting and the Role of the Internal Control System based on Financial Accounting Standards Guidelines (PSAK 109) Zakat Agency in Indonesia |
Abstract
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Hari Setiyawati |
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Vol 12, No 3 (2021) |
Analyzing the Dynamics Between Macroeconomic Variables and the Stock Indexes of Emerging Markets, Using Non-linear Methods |
Abstract
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Huthaifa Alqaralleh, Ahmad Al-Majali, Abeer Alsarayrh |
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Vol 4, No 4 (2013) |
Announcement of Retraction |
Abstract
PDF
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Gina Perry |
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Vol 6, No 3 (2015) |
Announcement of Retraction |
Abstract
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Gina Perry |
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Vol 10, No 2 (2019) |
Announcement of Retraction |
Abstract
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Gina Perry |
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Vol 12, No 2 (2021) |
Announcement of Retraction |
Abstract
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Gina Perry |
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Vol 12, No 3 (2021) |
Announcement of Retraction |
Abstract
PDF
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Gina Perry |
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Vol 11, No 1 (2020) |
Antecedent Variables and Consequences of Religiosity on Fraud |
Abstract
PDF
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Muhamad Taqi, Sabaruddinsah ., Tubagus Ismail, Meutia . |
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Vol 11, No 2 (2020) |
Applicability of Forensic Accounting to Reduce Fraud and its Effects on Financial Statement of Jordanian Shareholding Companies From the Perspective of Judiciary and Certified Public Accountant |
Abstract
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Abdussalam Mahmoud Abu Tapanjeh, Ashwaq Rateb AlTarawneh |
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Vol 14, No 3 (2023) |
Application of Machine Learning With News Sentiment in Stock Trading Strategies |
Abstract
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Tse-Mao Lin, Jing-Long Yu, Jhih-Wei Chen, Chin-Sheng Huang |
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Vol 12, No 3 (2021) |
Applying the ARIMA Model to the Process of Forecasting GDP and CPI in the Jordanian Economy |
Abstract
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Abdullah Ghazo |
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Vol 11, No 5 (2020) |
Applying the Process Approach in the Financial Service |
Abstract
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K. I. Dairukina, O. V. Demyanova |
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Vol 9, No 2 (2018) |
Applying the Theory of Planned Behaviour (TPB) in Saving Behaviour of Pomak Households |
Abstract
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Nikolaos Satsios, Spyros Hadjidakis |
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Vol 8, No 4 (2017) |
Are Analysts Overoptimistic about the Prospects of Sin Firms? |
Abstract
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Jin Zhang, Haeyoung Shin |
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Vol 7, No 2 (2016) |
Are Institutional Investors Beneficial to Family Firm Performance? Evidence from the French Stock Exchange |
Abstract
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Olivier Colot, Jonathan Bauweraerts |
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Vol 11, No 6 (2020) |
Are Kuwaiti Stock Returns Affected by Fluctuations in Oil Prices? |
Abstract
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Salem Alshihab, Nayef AlShammari |
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Vol 10, No 5 (2019) |
Are SMEs Ready for Integrated Reporting? The Malaysian Experience of Accountability |
Abstract
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Mira Susanti Amirrudin, Mazni Abdullah, Nooraslinda Abdul Aris, Nor Farizal Mohammed |
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Vol 15, No 1 (2024) |
Are The Sudanese Banks Financially Sound? |
Abstract
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Nawal Hussein Abbas Elhussein, Ahmed Ali Eldawaha |
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Vol 12, No 5 (2021) |
Are There Gender Differences in Sustainable Entrepreneurship Indicators Amongst SMEs in South Africa? Application of MANOVA |
Abstract
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Ogujiuba Kanayo, Ebenezer Olamide, Isaac Agholor, Estelle Boshoff |
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Vol 5, No 4 (2014) |
Are There Non-linear Effects of Banking Relationships and Ownership Concentration on Operational Performance? Empirical Evidence from Portuguese SMEs Using Cross-section Analysis and Panel Data |
Abstract
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Antonio Pedro Soares Pinto, Mario Gomes Augusto |
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Vol 11, No 5 (2020) |
Are Trade Policies Performance Enhancing? The Special Case of the GCC Countries |
Abstract
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Turki Alshammari |
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Vol 11, No 5 (2020) |
Artificial Intelligence and Its Use in Financial Markets |
Abstract
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Lilia Mirgaziyanovna Yusupova, Irina Arkadevna Kodolova, Tatyana Viktorovna Nikonova, Madina Irekovna Agliullina, Zarina Irekovna Agliullina |
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Vol 4, No 3 (2013) |
Ascertaining the Financial Cost of Malaria and Mitigating against It Using Actuarial Models for Financial Cost |
Abstract
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I. K. Dontwi, V. K. Dedu, N. K. Aboagye |
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Vol 7, No 5 (2016) |
Assessing Performance of Liquidity Adjusted Value-at-Risk Models |
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Vandana Rao Daka, Sankarshan Basu |
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Vol 7, No 3 (2016) |
Assessing the Education and Training Strategy of Selected Colleges Responding to the Needs of Highly Qualified Professional |
Abstract
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Vu Quach, Nhan Hoang Vo, Cuong Hung Pham |
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Vol 6, No 2 (2015) |
Assessment of the Impact of Fiscal Policy Operations on Stock Price Performance: Empirical Evidence from Nigeria |
Abstract
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Onyemachi Maxwell Ogbulu, Lezaasi Lenee Torbira, Chizoba Lynda Umezinwa |
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Vol 11, No 2 (2020) |
Attainment Discrepancy Level, Firm Resources Slack, and Sticky Cost |
Abstract
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Riha Dedi Priantana, Abdul Rohman, Fuad . |
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Vol 4, No 4 (2013) |
Attracting Chinese Foreign Direct Investment (FDI) to Africa: Determinants and Policies - The Case of Guinea |
Abstract
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Diallo Mamadou Saliou Kokouma, Kaning Xu |
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Vol 3, No 4 (2012) |
Attracting Foreign Direct Investment in Developing Countries: Determinants and Policies-A Comparative Study between Mozambique and China |
Abstract
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Paulo Elicha Tembe, Kangning Xu |
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Vol 11, No 4 (2020) |
Audit Committee Chair Attributes and Audit Report Lag in an Emerging Market |
Abstract
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Ayad Ahmed Mohammed Al-Qublani, Hasnah Kamardin, Rohami Shafie |
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Vol 11, No 5 (2020) |
Audit Committee Features and CSR Disclosure: Additional Evidence From an Emerging Market |
Abstract
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Sumaia Ayesh Qaderi, Turki Raji Alhmoud, Belal Ali Abdulraheem Ghaleb |
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Vol 11, No 4 (2020) |
Audit Committee’s Role in Moderating the Effect of Financial Distress Towards Going Concern Audit Opinion |
Abstract
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Anna Kania Widiatami, Nanny Dewi Tanzil, Cahya Irawadi, Ahmad Nurkhin |
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Vol 6, No 3 (2015) |
Auditing Subsequent Events from the Perspective of Auditors: Study from Jordan |
Abstract
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Musa Abdel Latif Al Nawaiseh, Jamel Jaber |
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Vol 10, No 3 (2019) |
Auditor’s Ethical Judgments: The Influence of Moral Intensity, Ethical Orientation and Client Importance |
Abstract
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Razana Juhaida Johari, Zuraidah Mohd Sanusi, Arumega Zarefar |
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Vol 5, No 3 (2014) |
Bancassurance in Tunisia: What Are the Efficiency Gains? |
Abstract
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Ines Ayadi |
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Vol 12, No 5 (2021) |
Bank Credit Risk Rating Process: Is There a Change With the 2007-09 Crisis? |
Abstract
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Emna Damak |
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Vol 12, No 5 (2021) |
Bank Credit Risk Rating Process: Is There a Difference Between Agencies? |
Abstract
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Emna Damak |
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Vol 13, No 1 (2022) |
Bank Credit Risk Rating Process: Is There a Difference Between Developed and Developing Country Banks? |
Abstract
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Emna Damak |
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Vol 6, No 4 (2015) |
Bank Efficiency Analysis: Islamic Banks versus Conventional Banks in the Gulf Cooperation Council Countries 2006 - 2012 |
Abstract
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Bukhari M. S. Sillah, Nizar Harrathi |
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Vol 6, No 1 (2015) |
Bank Interest Margin and Default Risk under Basel III Capped Capital Adequacy Accord and Regulatory Deposit Insurance Fund Protection |
Abstract
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Chuen-Ping Chang, Shi Chen |
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Vol 8, No 4 (2017) |
Bank Lending and Interest- Rate Derivatives |
Abstract
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Fang Zhao, James Moser |
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Vol 8, No 1 (2017) |
Bank Regulation, Capital Ratio Behaviour and Risk Taking in a Simultanious Approach |
Abstract
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Hichem Maraghni |
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Vol 10, No 6 (2019) |
Bank Size and Financial Risk Exposure on Financial Performance of Commercial Banks in Kenya |
Abstract
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Konya M. Nelly, Jagongo Ambrose, Kosimbei George |
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Vol 2, No 1 (2011) |
Bank Size, Functional Distance and Loss Given Default Rate of Bank Loans |
Abstract
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Matteo Cotugno, Valeria Stefanelli |
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Vol 11, No 2 (2020) |
Banking Competition and Efficiency: The Case of Vietnamese Banking Industry |
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Long Hau Le, Truong An Duong, Tan Nghiem Le |
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Vol 6, No 1 (2015) |
Banking Relationships, Managerial Ownership and Operational Performance: A Simultaneous Equations Approach in the Context of SMEs |
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Mario Gomes Augusto, Antonio Pedro Soares Pinto |
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Vol 12, No 4 (2021) |
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 |
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Naseem Abu Roman |
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Vol 12, No 4 (2021) |
Bankruptcy Risk and Financial Performance of Companies Listed on the Stock Exchange of Thailand |
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Thitima Chaiyakul |
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Vol 11, No 6 (2020) |
Behavioral Bias in Individual Investment Decisions: Is It a Common Phenomenon in Stock Markets? |
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Nawal Hussein Abbas Elhussein, Jarel Nabi Ahmed Abdelgadir |
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Vol 11, No 6 (2020) |
Behavioural Determinants of Green Managerial Practices: A Study on Bangladeshi Bankers |
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Nafia Sultana, Azharul Islam, Mohammad Nakib |
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Vol 6, No 4 (2015) |
Benchmarking and Ranking of Quoted Manufacturing Companies in Nigeria: A Data Envelopment Analysis Approach |
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Ifuero Osad Osamwonyi, Kennedy Imafidon |
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Vol 7, No 5 (2016) |
Beta and Size Revisited: Evidence from the French Stock Market |
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Bing Xiao |
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Vol 8, No 4 (2017) |
Beyond Banks’ Capitalization: What Affects the Credit Lines? |
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Carmen Gallucci, Vincenzo Formisano, Michele Modina, Rosalia Santulli |
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Vol 10, No 3 (2019) |
Board Capabilities and the Mediating Roles of Absorptive Capacity on Environmental Social and Governance (ESG) Practices |
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Aida Maria Ismail, Zuria Hajar Mohd Adnan, Fadzlina Mohd Fahmi, Faizah Darus, Colin Clark |
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Vol 10, No 3 (2019) |
Board Characteristics and Foreign Direct Investment in Public Listed Property Companies: A Malaysian Evidence |
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Erlane K Ghani, Ham Xairyani Mohamed, Kamaruzzaman Muhammad |
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Vol 10, No 3 (2019) |
Board Diversity and Corporate Sustainability Practices: Evidence on Environmental, Social and Governance (ESG) Reporting |
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Aida Maria Ismail, Izrul Haida Mohd Latiff |
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Vol 11, No 4 (2020) |
Board of Directors and Financial Reporting Quality in Vietnam Listed Companies |
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Nguyen Thi Thanh Phuong, Dang Ngoc Hung |
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Vol 9, No 2 (2018) |
Board Rudiments and the Executive Attitude Towards Corporate Risk-Taking |
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Bello Lawal |
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Vol 12, No 1 (2021) |
Board Structure of Corporate Organizations and Earnings Management: Does Size and Independence of Corporate Boards Matter for Nigerian Firms? |
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Abel Oghenevwoke Ideh, Edirin Jeroh, Orits Frank Ebiaghan |
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Vol 8, No 4 (2017) |
Brexit’s Protectionist Policy and Implications for the British Pound |
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Lara Joy Dixon, Hoje Jo |
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Vol 11, No 6 (2020) |
Budget Education and Management as a Necessity for Well-Being and Financial Stability: Cluster & MDS Analysis |
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Enkeleda Lulaj |
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Vol 12, No 4 (2021) |
Budgetary Systems in Organisations: An Anatomy of Management Views, Employees’ Behaviour and Productivity Trend of 21st Century Firms in a Tropical Nation |
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Usen Paul Umo |
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Vol 11, No 4 (2020) |
Business Strategy and R&D Expenditures |
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Han Li |
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Vol 12, No 5 (2021) |
Can Multistep Nonparametric Regressions Beat Historical Average in Predicting Excess Stock Returns? |
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Najrin Khanom |
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Vol 10, No 4 (2019) |
Can Social Performance Improve Financial Performance and Increase Customers’ Trust? |
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Hasan Mukhibad, Indah Anisykurlillah, Ahmad Nurkhin, Prabowo Yudo Jayanto |
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Vol 11, No 1 (2020) |
Capital and Liquidity Risks and Financial Stability: Pre, During and Post Financial Crisis Between Islamic and Conventional Banks in GCC Countries, in the Light of Oil Prices Decline |
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Hamid Abdulkhaleq Hasan Al-Wesabi, Rosylin Mohd. Yusof |
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Vol 11, No 5 (2020) |
Capital Asset Pricing Model (CAPM) and the Douala Stock Exchange |
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Amenawo Ikpa Offiong, Hodo Bassey Riman, Helen Walter Mboto, Eyo Itam Eyo, Diana Gembom Punah |
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Vol 11, No 1 (2020) |
Capital Flight and Domestic Investment in Nigeria: Evidence From ARDL Methodology |
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Lionel Effiom, Alfa Charles Achu, Samuel Etim Edet |
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Vol 6, No 3 (2015) |
Capital Flight and Foreign Direct Investment |
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Yi-Hui Chiang, Thomas Lee |
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