Content
2017, Volume 19, Issue 5
- 508-520 Innovation in small and medium enterprises: the impact of open innovation practices on firm's performance
by Gabriele Santoro - 521-535 The impact of R%D and information technology on innovation performance of Greek SMEs
by Evangelos Tsoukatos & Fotini Psimarni-Voulgaris & Christos Lemonakis & Konstantinos Vassakis - 536-552 Public relations and reputation in small organisations: creating identity and building reputation for success
by Marcos Komodromos - 553-569 Economic sustainability of the olive oil high and super-high density cropping systems in Italy
by Giustina Pellegrini & Piermichele La Sala & Salvatore Camposeo & Francesco Contò - 570-591 Cross border acquisitions and R%D activities: a comparative study in the Italian red biotech industry
by Michela Matarazzo & Biagio Merola & Riccardo Resciniti - 592-631 Corporate finance in renewable energy investments - a review about theory and practice
by Christian Hürlimann & Dolores S. Bengoa - 632-647 Management control in Italian SMEs
by Laura Broccardo & Elisa Giacosa & Francesca Culasso & Alberto Ferraris - 648-670 Cooperating for competing - a small Italian wineries' internationalisation strategy case study
by Giuseppe Festa & Maria V. Ciasullo & Demetris Vrontis & Alkis Thrassou
2017, Volume 19, Issue 4
- 386-400 Open innovation, crowdsourcing, and knowledge from the crowd: an exploratory study of sustainable company growth
by Fernanda Pauletto D'Arrigo & Ana Cristina Fachinelli - 401-419 Knowledge utilisation: an empirical review on processes and factors of knowledge utilisation
by Gregor Diehr & Stefan Gueldenberg - 420-447 What do we know about knowledge reuse in organisations?
by Susanne Durst & Helio Aisenberg Ferenhof - 448-467 CSR and human capital as levers for enhancing shareholder value creation. An early investigation of the largest European companies
by Cecilia Casalegno & Michela Pellicelli & Chiara Civera - 468-484 Intellectual capital and financial performance. Evidences from Italian firms
by Paola Demartini & Francesca Maria Cesaroni & Mara Del Baldo & Paola Paoloni - 485-504 Turning a low-performing organisation into a high-performing one through the implementation of a knowledge-based strategy
by Yasmina Khadir-Poggi & Mary Keating & Stephen Chandler
2017, Volume 19, Issue 3
- 256-275 Crowdfunding in Russia: a thematic analysis of funder motives
by Liubov Kovshova & Praveen Balakrishnan Nair - 276-298 Innovative strategies for the development of rural India through village cottage and agribusiness enterprises
by Priyanka Srivastava & Bindu Agrawal - 299-322 Factors affecting labour productivity: an integrative synthesis and productivity modelling
by Varun Goel & Rajat Agrawal & Vinay Sharma - 323-338 Loan decision models for the Jordanian commercial banks
by Shorouq Fathi Eletter & Saad Ghaleb Yaseen - 339-355 Does investment style effect portfolio returns: a study on Indian markets
by Arun Kumar Misra & Sabyasachi Mohapatra - 356-377 Management education as an industry and MBA as a product: revisiting joint MBA programs using Porters five forces model
by Tra T.T. Nguyen
2017, Volume 19, Issue 2
- 121-136 A value-based transcription of student choices into higher education branding practices
by Yioula Melanthiou & Alkis Thrassou & Demetris Vrontis - 137-156 A new communication and retail distribution formula in food sector
by Léo-Paul Dana & Elisa Giacosa & Francesca Culasso & Margherita Stupino - 157-175 Determinants of information disclosure by companies listed on the Warsaw Stock Exchange in Poland
by Anna Białek-Jaworska - 176-193 Portfolio diversification opportunities across stock markets of Asian tigers, Thailand and India: a vector autoregression approach
by Shalini Talwar & Nupur Gupta-Bhattacharya - 194-224 Testing capital market efficiency
by Christophe Boya - 225-238 Associating firm characteristics with employment: evidence from Eurozone periphery
by Ilias A. Makris - 239-249 University governance and educational AAU model: an organisational culture approach
by Ghaleb A. El Refae & Abdelhafid K. Belarbi
2017, Volume 19, Issue 1
- 1-14 Bond markets, stock markets, banks and growth: a system GMM analysis
by Ashenafi Beyene Fanta - 15-37 Foreign exchange rate exposure of selected exporting companies from the Warsaw Stock Exchange
by Krzysztof Drachal - 38-53 The impact of supranational fiscal rules on public finance: the case of EMU member states
by Aleksander Aristovnik & Matevž Meze - 54-69 The calendar anomalies on performance and volatility of stock market: the effects of Ramadan on Karachi Stock Exchange
by Kalimullah Khan & Muhammad Ali Nasir & Matteo Rossi - 70-88 The impact of the financial crisis and financial assistance in Portuguese competitiveness: micro and macro foundations
by Pedro Mota Veiga & João J. Ferreira & João R. Faria - 89-119 Bank capital, profitability and risk in BRICS banking industry
by Wiem Ben Jabra & Zouheir Mighri & Faysal Mansouri
2016, Volume 18, Issue 6
- 623-641 On patent legislation, patent enforcement and economic growth: empirical evidence from developed and developing countries
by Nikolaos Papageorgiadis & Constantinos Alexiou & Joseph G. Nellis - 642-655 Individual cultural values and consumer's choice of national brands
by Paula Cristina Lopes Rodrigues - 656-678 Creating shared value in the buyer-supplier relationship through the implementation of sustainability requirements
by T.M. Meulensteen & Walter J.V. Vermeulen & S. Meerman - 679-703 Disclosure choices, corporate characteristics and compliance with IFRS Practice Statement Management Commentary: an empirical study of Malaysian listed companies
by Prem Lal Joshi & Liew Chui Ling & Lim Wei Yin & Ashutosh Deshmukh - 704-728 The value of political connections in French industrial listed corporations
by Carlo Bellavite Pellegrini & Laura Pellegrini - 729-746 Macroeconomic policy coordination and British labour market: is the state contingent forward guidance dancing a tango solo?
by Muhammad Ali Nasir & Junjie Wu & Aisha Qamar
2016, Volume 18, Issue 5
- 497-516 'They' are or 'we' are? An analysis of Facebook interaction effects on brand loyalty
by Ching-Wei Ho - 517-532 Are there housing bubbles in South Africa? Evidence from SPSM-based panel KSS test with a Fourier function
by Tsangyao Chang & Wen-Chi Liu & Goodness C. Aye & Rangan Gupta - 533-549 Parametric and non-parametric analysis of tax changes
by James Bugden & Robert Waschik & Iain Fraser & Jeffrey S. Racine - 550-566 Earnings management around mergers and acquisitions: evidence from a range of French absorbing firms' accounting policy
by Mouna Njah & Anis Jarboui - 567-586 Causal relationship between inbound tourism and exports of goods in Portugal: evidence from cointegration and Granger causality tests
by Ana Madaleno & Celeste Eusébio & Celeste Varum - 587-603 The interrelation among accounting quality, timeliness and relevance
by Alexis Kythreotis & Constantinos Constantinou - 604-617 The capital asset pricing model: a critical literature review
by Matteo Rossi
2016, Volume 18, Issue 3/4
- 247-258 Financial crisis and Greek banks' internationalisation
by Labros Vasiliadis - 259-276 The relationship between wine sector and regional competitiveness
by Milena Viassone & Demetris Vrontis & Ioanna Papasolomou - 277-296 Work cost impact analysis in FTSE MIB companies
by Stefano Bresciani & Elisa Giacosa & Guido Giovando - 297-309 Two suggestions to improve the outcomes of public-private partnerships
by Andrew Schein - 310-319 The economic effects of new PPP accounting treatments: a critical analysis of the IPSAS 32
by Nicola Moscariello & Ettore Cinque - 320-343 Two models of family firms in dividends and investments policy
by Stefano Bresciani & Francesca Culasso & Elisa Giacosa & Laura Broccardo - 344-370 Management accounting and enterprise risk management. A potential integration as a new change in managerial systems
by Francesca Culasso & Laura Broccardo & Luca Maria Manzi & Elisa Truant - 371-384 Public private partnership and IFRIC 12 in Italy
by Eugenio Braja & Maura Campra & Paolo Ricci & Paolo Esposito - 385-401 Efficiency, leverage and profitability: the case of Greek manufacturing sector
by Christos Floros & Fotini Voulgaris - 402-419 Impact of taxation on FDI flows into European Union countries: empirical evidence from a gravity approach
by Svetlana Raudonen - 420-444 Construction measures of bankruptcy: case study of Polish enterprises
by Natalia Nehrebecka & Aneta Dzik-Walczak - 445-468 A comparative analysis in the EU shadow economy using a DEA model
by Claudio Quintano & Paolo Mazzocchi - 469-486 Venture capital in Europe: investors and targets
by Alessandra Tanda - 487-495 Twin deficit hypothesis: some recent evidence from India
by P.K. Santhosh Kumar
2016, Volume 18, Issue 2
- 124-135 Which sectoral FDI flows crowd in domestic entrepreneurship?
by Nadia Doytch - 136-150 Blueprinting the equilibrium relationships between inward FDI and employment in the Malaysian economic sectors: time series models approach
by Hussain Ali Bekhet & Mohamed Ibrahim Mugableh - 151-176 Foreign direct investment and total factor productivity growth: does distance from technology frontier matter?
by Subaran Roy - 177-198 A comparative assessment of growth determinants in advanced and emerging economies. The particular role of FDIs
by Ioannis A. Tampakoudis & Demetres N. Subeniotis & Manolis I. Skouloudakis - 199-215 The impact of compensation on the performance of competence-exploiting and competence-creating FDI
by Dimitris Manolopoulos - 216-226 The impact of Euro-zone crisis on foreign direct investment inflows in the EU-15
by İmre Ersoy & Kazım Okan Erol - 227-246 Barriers for FDI in Serbia: evidence from the manufacturing sector
by Aristidis P. Bitzenis & Vladimir P. Žugić
2016, Volume 18, Issue 1
- 1-14 Statistics education in GCC business schools
by Rafiq H. Hijazi - 15-27 Consumer innovativeness and opinion leadership: revisiting consumer characteristics in new product diffusion model
by Somkiat Eiamkanchanalai & Nuttapol Assarut - 28-40 BRIC dynamic conditional correlations, portfolio diversification and rebalancing after the global financial crisis of 2008-2009
by Maria Zakia Papanikolaou Mostafa & Stavros Stavroyiannis - 41-53 Expected shortfall and tail conditional expectation with the Pearson type IV distribution
by Stavros Stavroyiannis - 54-81 The ability of the turnaround index to assess going concern assumptions: evidence from its application to Italian listed companies
by Roberta Provasi & Patrizia Riva - 82-100 Is it really worth it? A test of pay-what-you-want pricing strategies in a German consumer behaviour context
by Tim Dorn & Augustin Suessmair - 101-114 On the nature of the voting paradox as a basis of economic analysis
by Yasumi Matsumoto
2015, Volume 17, Issue 4
- 345-359 Banking performance and the business cycle: empirical evidence from Greece
by Sophocles Vogiazas & Constantinos Alexiou - 360-382 Impact of cross-border acquisitions' announcements on shareholders' wealth: evidence from India
by Neelam Rani & nr@iimshillong.in Yadav & P.K. Jain - 383-398 Multi-product and vertical differentiation
by Wenbang Yuan - 399-416 Stock market reaction, financial reporting quality and International Financial Reporting Standards (IFRS) convergence of listed firms in China
by Matthias Nnadi - 417-429 Issues in implementing integrated water resources management in Thailand
by Alin Chintraruck & John Walsh - 430-444 Impact and complementarity of public support to business funded R%D: the importance of policy-mix and policy stability
by Celeste Varum & Miguel Viegas - 445-466 Determining the optimal structure of government debt in Indonesia
by Ahmad Danu Prasetyo & Naoyuki Yoshino - 467-476 Economic uncertainty, monetary uncertainty, and the demand for money in Thailand
by Mohsen Bahmani-Oskooee & Kaveepot Satawatananon & Dan Xi
2015, Volume 17, Issue 3
- 237-255 Sentiment analysis for the Japanese stock market
by Hiroshi Ishijima & Takuro Kazumi & Akira Maeda - 256-267 On the devolatised returns and dynamic conditional correlations GARCH modelling in selected European indices
by Stavros Stavroyiannis & Leonidas Zarangas - 268-279 Necessary conditions for constructing economic policy
by Yasumi Matsumoto - 280-297 Discussing the consistency of the Euro area: ten years after, is there a real integration?
by Ilias A. Makris & Vasilis N. Nikolaidis - 298-309 On the time varying nature of herding behaviour: evidence from major European indices
by Stavros Stavroyiannis & Vassilis Babalos - 310-329 A survey of the national innovation system
by Maria Cristina Ortigão Sampaio Schiller - 330-343 The role of power distance in the application of relationship marketing orientation to the internal business environment
by Rachel Shuk Yee Cheung & Guilherme D. Pires
2015, Volume 17, Issue 2
- 131-150 Attitudes and reactions of Galician (Spanish) consumers towards the purchase of products from other regions
by Pilar Fernández-FerrÃn & Belén Bande-Vilela - 151-163 Institutional determinants of university CEOs' compensation - evidence from the UK
by Chew Ging Lee & Pek Kim Ng - 164-187 Total factor productivity growth in private sector hospitals of India: an assessment through MPI approach
by Sandeep Kumar Mogha & Shiv Prasad Yadav & S.P. Singh - 188-202 Does tropical weather condition affect investor behaviour? Case of Indonesian stock market
by Rayenda Khresna Brahmana & Chee-Wooi Hooy & Zamri Ahmad - 203-216 The impact of volatility shifts on market efficiency: the case of four emerging Southeast Asian stock markets
by Hui-Boon Tan & Mei-Foong Wong & Elgilani Eltahir Elshareif - 217-235 Number of ATMs, IT investments, bank profitability and efficiency in Greece
by Georgia Giordani & Christos Floros
2015, Volume 17, Issue 1
- 1-18 The influence of financial slack resources over cross-border acquisitions
by Quang Vinh Khanh Tran & Ruth Rios-Morales - 19-34 Determinants of performance in the hotel industry - an empirical analysis of Italy
by Stefano Bresciani & Alkis Thrassou & Demetris Vrontis - 35-50 Relationship between information communications technology, economic growth and carbon emissions: evidence from panel analysis of the G20
by Jung Wan Lee & Kip Becker - 51-62 The informative role of accounting standards in privatising state-owned property: comparing Greek Governmental Accounting Standards and IPSAS
by Sandra Cohen & Sotiris Karatzimas & George Venieris - 63-75 How to improve the acceptance of ethically sustainable investments? - Findings of an empirical study
by Bernd Britzelmaier & Sabine Burger - 76-92 Forecasting statistical methods in business: a comparative study of discriminant and logit analysis in predicting business failure
by Ana GarcÃa-Gallego & MarÃa-Jesús Mures-Quintana & M. Eva Vallejo-Pascual - 93-111 Cause-related marketing, product innovation and extraordinary sustainable leadership: the root towards sustainability
by Michael Christofi & Erasmia Leonidou & Demetris Vrontis - 112-129 The impact of ERP systems on firm performance: the case of Greek enterprises
by Fotini Voulgaris & Christos Lemonakis & Manos Papoutsakis
2014, Volume 16, Issue 4
- 349-368 Linking, leveraging and learning: sectoral systems of innovation and technological catch-up in China's commercial aerospace industry
by David J. Smith & Michael Zhang - 369-395 Do workers in exporting industries earn higher wages? Evidence from recent trade liberalisation episodes in two developing countries
by Mona Said & Shireen AlAzzawi - 396-415 Socio, economic and psychological determinants of entrepreneurial intentions: a structural equation model
by R. Murugesan & P.D.D. Dominic - 416-451 Value-at-risk and expected shortfall: a dual long memory framework
by Zouheir Mighri & Faysal Mansouri & Geoffrey J.D. Hewings - 452-471 Disclosure of university websites. Evidence from Italian data
by Marco Bisogno & Francesca Citro & Aurelio Tommasetti
2014, Volume 16, Issue 3
- 231-252 Implied returns, costly reversibility and the value premium
by Joseph M. Goebel & Manoj V. Athavale - 253-268 The effect of software piracy on research and development intensity at the country level: do developed countries and emerging economies suffer the same impact?
by Peerayuth Charoensukmongkol - 269-295 Dimensional analysis of real estate portfolio selection methods
by Kenneth David Strang - 296-309 Interrelationships between inward FDI and indigenous innovation in developing economies
by Hannarong Shamsub - 310-331 Post-acquisition profitability of banks: a comparison of domestic and cross-border acquisitions in the European Union
by Matthias A. Nnadi & Sailesh Tanna - 332-348 International reserves holding and the political risk: evidence from selected emerging economies
by Siti Nurazira Mohd Daud & Abd Halim Ahmad
2014, Volume 16, Issue 2
- 111-122 Foreign direct investment, exports, education, and growth in Malaysia
by Mohammed B. Yusoff - 123-141 Player contracts, athletic and financial performance of the Greek football clubs
by Panagiotis E. Dimitropoulos & Vasilios Limperopoulos - 142-156 The effect of heteroskedasticity on factors affecting stock repurchases
by Anup M. Nandialath & Bernardo da Veiga & Madan Annavarjula & Ramesh Mohan - 157-178 Are US imports really hurting US households?: an analysis of the relationship between US households' consumption and US imports
by Florence Bouvet & Chong-Uk Kim - 179-201 Possible effects of the stock market movements on interest rates, output and inflation: empirical evidence from the emerging markets of Europe
by Oguzhan Ozcelebi - 202-213 FDI, financial development and economic growth: evidence of causality from East and South East Asian countries
by Abdus Samad & Muhammad Akhtaruzzaman - 214-229 Sales and profit growth and the effects of crises: comparative evidence from the recent crisis
by Celeste Amorim Varum & Susana Silva & Abigail Ferreira
2014, Volume 16, Issue 1
- 1-14 On the generalised Pearson distribution for application in financial time series modelling
by Stavros Stavroyiannis - 15-25 The application of an autonomous decentralised system for crisis control - a lesson from the Great East Japan Earthquake
by Yasumi Matsumoto - 26-45 Time series modelling of real estate prices
by Hiroshi Ishijima & Akira Maeda - 46-59 A comparison of ethical perceptions of earnings-management practices - MENA region and USA
by Leonie Jooste - 60-74 Australian manufacturing exports to ASEAN: linking country, customer and enterprise risk in method of payment choice
by Roberto Bergami - 75-86 Economic growth in Australia: globalisation, trade and foreign direct investment
by Michael Thorpe & Nuno Carlos Leitão - 87-99 Ricardian equivalence and super exogeneity: a new approach
by László Kónya & Bekzod Abdullaev - 100-109 Exploring the Islamic view of spirituality and business
by Najim A. Najim & Ghaleb A. El Refae & Jamal A. Abu Rashed
2013, Volume 15, Issue 4
- 327-349 Innovation source and performance: a firm-level analysis of high-tech sector in China
by Zhengwei Li & Cindy Millman & Renyong Chi - 350-370 Capital market integration in a post crisis era: the case of India
by David Gray - 371-395 Exploring the developments in urbanisation, aid dependency, sectoral shifts and services sector expansion in Fiji: a modern growth perspective
by Ronald Ravinesh Kumar & Radika Kumar - 396-416 Economic future of China
by Syed Shahabuddin - 417-431 China and India leading a global insurgency within the software industry
by Paul C. Irwin Crookes & John McManus
2013, Volume 15, Issue 2/3
- 133-147 The influence of demographic variables on relationship banking: an international study
by Chantal Rootman & Madele Tait & Gary Sharp - 148-162 Customer e-loyalty to internet banking: an empirical analysis
by Konstantinos Terzidis & Eva Papadopoulou & Kosmas Kosmidis - 163-180 Trade credits: the case of small-medium sized enterprises
by Khaled Soufani & Panikkos Poutziouris & Nicos Michaelas - 181-195 Public-private partnerships in welfare system
by Fabio Michele Amatucci & Paolo Esposito - 196-209 Institutional environment features and Swiss foreign direct investment
by Ruth Rios-Morales & Dragan Gamberger & Max Schweizer & Louis Brennan - 210-232 To hedge or not to hedge during the financial crisis: a case study
by Simona Mihai-Yiannaki - 233-250 Analysing the relationship between intellectual capital and performance in local governments
by Sandra Cohen & Orestes Vlismas - 251-264 The globalisation of business activity: structures, processes and prospects for the demise of postmodernism
by Steven K. Paulson & Peter Stokes - 265-278 The exploration activity's added value into the innovation process
by Hela Chebbi & Dorra Yahiaoui & Alkis Thrassou & Demetris Vrontis - 279-292 How to enhance value? A comparative approach between marketing and finance
by Bernard Paranque & Bernard Cova - 293-308 Monitoring and protecting company and brand reputation on social networks: when sites are not enough
by Kip Becker & Helena Nobre & Vijay Kanabar - 309-323 Does freedom lead to happiness? Economic growth and quality of life
by Nina Gorovaia & Stavros A. Zenios
2013, Volume 15, Issue 1
- 1-13 Economic growth and risk - a critical review of the postwar Japanese economy
by Yasumi Matsumoto - 14-27 Value-at-risk for the long and short trading position with the Pearson type-IV distribution
by Stavros Stavroyiannis & Ilias Makris & Vasilis Nikolaidis & Leonidas Zarangas - 28-35 The changing nature of consolidation in the US banking industry - 1980 to the present
by Joseph N. Heiney - 36-48 Macroeconomic policy formulation: functional finance versus sound finance
by Neil Hart - 49-58 ANS-based preprocessing of company performance indicators
by Vasili?s N. Nikolaidis & Ilias A. Makris & Stavros Stavroyiannis - 59-75 Training for older employees in Germany - opportunities for distance learning? An exploratory study
by Walter Hoenig & Harald Stummer - 76-87 Identifying stocks' characteristics before market crashes: the case of the Athens stock exchange
by Ilias A. Makris & Vasilis N. Nikolaidis & Stavros Stavroyiannis - 88-109 Analysing the return distributions of Australian stocks: the CAPM, factor models and quantile regressions
by David E. Allen & Abhay Kumar Singh & Robert Powell - 110-127 Immiserising growth and mobility of capital with and without land in Harris-Todaro model
by Tadashi Inoue
2012, Volume 14, Issue 4
- 249-273 On the relation between income distribution and economic growth
by Mohsen Bahmani-Oskooee & Abera Gelan - 274-282 A comment on mortgage procylicality
by Trond-Arne Borgersen & Karl Robertsen - 283-307 Day-of-the-week effect around the 2008 financial crisis
by Nikolas L. Hourvouliades & Vassilis Polimenis - 308-321 In international trade apples do fall far from the tree: analysis of variation in quality of exports and imports in clothing industry
by Yener Kandogan - 322-337 The value of fixed reimbursement insurance against cancer related losses: simulations to investigate state dependent utility
by Christopher J. Longo & Michel Grignon - 338-361 Modelling power spot prices in deregulated European energy markets: a dual long memory approach
by Najeh Chaâbane & Foued Saâdaoui & Saloua Benammou - 362-380 The determinants of exports in the Greek manufacturing sector
by Ioannis Bournakis
2012, Volume 14, Issue 3
- 139-158 Using tracking error volatility to check active management and fee level of investment funds
by Luca Riccetti - 159-177 Role of remittances in India's economic growth
by T.K. Jayaraman & Chee-Keong Choong & Ronald Ravinesh Kumar - 178-195 Does gender affect business profitability? The case in a region of Spain
by Julita GarcÃa-Diez & Pedro Lorca & Javier De Andrés - 196-211 Prospects for Irish macroeconomic recovery and stability
by Nancy Bertaux & Timothy White - 212-225 Vertical allocation of the production between identical countries: intra-industry trade in both a final good and the connected intermediate good
by Teit Lüthje - 226-247 The effects of work sampling and feedback on individuals' work- and safety-related behaviour prior to, during, and after observer presence
by Angela R. Lebbon & Jón G. Sigurjónsson & John Austin
2012, Volume 14, Issue 1/2
- 5-29 Can sustainable investing generate carbon credits?
by João Zambujal-Oliveira - 30-66 Tax policy and macro-finance in a competitive global economy where government is considered as firms' third financial stakeholder
by Ronald W. Spahr & Pankaj K. Jain & Fariz Huseynov & Bhavik Rajesh Parikh - 67-76 Understanding sovereign wealth funds in the global age
by Timothy Adedapo Falade-Obalade & Jacinta Agbarachi Opara - 77-101 Bayesian portfolio selection under a multifactor asset return model with predictive model selection
by Tomohiro Ando - 102-114 Style matters: investment performance presentation effects on investor preferences
by Eric Terry & Bettina West - 115-124 Leveraging tangible and intangible assets by using a possible firm competitiveness index
by Mihaela Herciu & Claudia Ogrean & Lucian Belascu - 125-138 Caixa Geral de Aposentações: why social responsibility is needed?
by Rute Abreu & Fátima David
2011, Volume 13, Issue 3/4
- 187-203 Assessing quality of financial reporting through audit reports: the case of Greek municipalities
by Sandra Cohen & Nikolaos Kaimenakis - 204-221 On the relationship between systematic risk and financial and operating risk: the case of the Greek listed firms
by Fotini Voulgaris & Athanasia Rizonaki - 222-239 A structural equations approach to assessing alternative service quality metrics within an extended service quality, customer satisfaction, customer loyalty model
by Evangelos Tsoukatos & Maria Koulentaki - 240-256 Where to? – The EU unemployment post crisis
by Simona Mihai-Yiannaki - 257-268 The effects of situational and personal factors on employee motivation for relocation
by Hana Ornoy & Shlomo Yedidia Tarba - 269-280 An analysis of dysfunctions and biases in financial performance measures
by Bernd Britzelmaier & Dennis Schlegel - 281-295 Exploring the history of accounting in Cyprus
by Peter Clarke - 296-310 Isomorphic immigrant effect in foreign entry
by Maud Oortwijn
2011, Volume 13, Issue 2
- 105-125 International business and cross-border education: a case of the Janus face of globalisation?
by Gaby Ramia & Simon Marginson & Erlenawati Sawir & Chris Nyland - 126-146 The value relevance of losses revisited: the importance of earnings aggregation
by Leif Atle Beisland - 147-167 Urban amenities and dwelling house prices in Sao Paulo, Brazil: a hierarchical modelling approach
by Luiz Paulo Lopes Favero - 168-184 The impact of published school performance results on residential property prices: a comparative study of two UK cities
by Joseph G. Nellis & John Glen
2011, Volume 13, Issue 1
- 1-12 Inflation and US music mechanicals, 1976-2010
by Peter Alhadeff & Caz McChrystal - 13-25 Positive feedback trading: evidence from futures markets
by Antonios Antoniou & Gregory Koutmos & Gioia Pescetto - 26-41 Some issues about the application of the analytic hierarchy process to R&D project selection
by Pedro Godinho & Joao Paulo Costa & Joana Fialho & Ricardo Afonso - 42-56 Time-varying beta risk, volatility persistence and the asymmetric impact of news: evidence from industry portfolios
by Dimitrios Koutmos - 57-70 New panel data evidence of human development convergence from 1975 to 2005
by Laszlo Konya - 71-83 How was the Heisei depression in Japan caused?
by Yasumi Matsumoto - 84-92 Effects of foreign reserve stock in Asian countries
by Yutaka Kurihara - 93-103 On the multifractal properties and the local multifractality sensitivity index of euro to Japanese yen foreign currency exchange rates
by Stavros Stavroyiannis & Vassilis Nikolaidis & Ilias A. Makris
2010, Volume 12, Issue 4
- 267-285 Foreign direct investment and firm productivity: evidence from firm-level data
by Joshua Abor - 286-328 Debt accumulation: do theoretical indicators explain country data?
by Magda Kandil - 329-340 Agent takeover risk of principal in outsourcing relationships
by Alnoor Bhimani & Kjell Hausken & Mthuli Ncube