Content
2024, Volume 17, Issue 4
- 257-279 Nexus between monetary policy, net foreign assets and exchange rate: fresh insight from Lao PDR
by Sorphasith Xaisongkham & Liu Xia & Muhammad Saeed Meo & Phetphongphanh Savangchakavane & Somchith Sompaseuth - 257-279 Nexus between monetary policy, net foreign assets and exchange rate: fresh insight from Lao PDR
by Sorphasith Xaisongkham & Liu Xia & Muhammad Saeed Meo & Phetphongphanh Savangchakavane & Somchith Sompaseuth - 280-300 Central bank independence and monetary policy outcomes in Ghana: a Bayesian structural time series approach
by Isaac Bentum-Ennin & Paul Owusu Takyi - 280-300 Central bank independence and monetary policy outcomes in Ghana: a Bayesian structural time series approach
by Isaac Bentum-Ennin & Paul Owusu Takyi - 301-321 How does organisational capital influence firm value? Moderating effect of tax haven utilisation
by Elisa Tjondro & I. Made Narsa & Heru Tjaraka - 301-321 How does organisational capital influence firm value? Moderating effect of tax haven utilisation
by Elisa Tjondro & I. Made Narsa & Heru Tjaraka - 322-340 Bibliometric and statistical approaches to examining non-performing loans in the Eurozone
by Adriana Novotná - 322-340 Bibliometric and statistical approaches to examining non-performing loans in the Eurozone
by Adriana Novotná - 341-349 Institutional distance and Thai outward foreign direct investment
by Siwapong Dheera-aumpon & Piyaphan Changwatchai - 341-349 Institutional distance and Thai outward foreign direct investment
by Siwapong Dheera-aumpon & Piyaphan Changwatchai
2024, Volume 17, Issue 2/3
- 125-136 Effect of organisational agility and competitive action on competitive advantage study on small businesses in Banten Province, Indonesia
by Sitti Ma'ani Nina & Sam'un Jaja Raharja & Rusdin Tahir & Margo Purnomo - 125-136 Effect of organisational agility and competitive action on competitive advantage study on small businesses in Banten Province, Indonesia
by Sitti Ma'ani Nina & Sam'un Jaja Raharja & Rusdin Tahir & Margo Purnomo - 137-145 Intellectual capital and firm productivity: evidence from Indonesian commercial banks
by Yosi Amelia Fitri & Niki Lukviarman & Erna Setiany - 137-145 Intellectual capital and firm productivity: evidence from Indonesian commercial banks
by Yosi Amelia Fitri & Niki Lukviarman & Erna Setiany - 146-159 The determinants of innovations and their impact on business performance in Indonesia during the Covid-19 pandemic
by Anang Muftiadi & Ratih Purbasari & Raden Marsha Aulia Hakim & Richa Nahdalaily Fathara & Arbi Abdul Kahfi & Park Donghyun & Cynthia Petalcorin & Yothin Jinjarak - 146-159 The determinants of innovations and their impact on business performance in Indonesia during the Covid-19 pandemic
by Anang Muftiadi & Ratih Purbasari & Raden Marsha Aulia Hakim & Richa Nahdalaily Fathara & Arbi Abdul Kahfi & Park Donghyun & Cynthia Petalcorin & Yothin Jinjarak - 160-169 The impact of CEOs age on corporate performance in the medical industry: Evidence from China
by Qing Xu & Chunxiao Xue & Jianing Zhang - 160-169 The impact of CEOs age on corporate performance in the medical industry: Evidence from China
by Qing Xu & Chunxiao Xue & Jianing Zhang - 170-178 Corporate social responsibility and types of CEO turnover
by Dmitriy Chulkov & Xiaoqiong Wang - 170-178 Corporate social responsibility and types of CEO turnover
by Dmitriy Chulkov & Xiaoqiong Wang - 179-188 The reconciliation of management and shareholders through Indonesian government policy on voluntary corporate social activity disclosure
by Yavida Nurim & Nung Harjanto & Nur Rizki Wijaya & Agung Nur Probohudono - 179-188 The reconciliation of management and shareholders through Indonesian government policy on voluntary corporate social activity disclosure
by Yavida Nurim & Nung Harjanto & Nur Rizki Wijaya & Agung Nur Probohudono - 189-200 Peer-to-peer lending default prediction model: a credit scoring application with social media data
by Taufik Faturohman & Sudarso Kaderi Wiryono & Hasna Laila Nabila Khilfah & Allesandra Andri & Muhammad Abdullah Hamzah & Okta Saputra & Gun Gun Indrayana - 189-200 Peer-to-peer lending default prediction model: a credit scoring application with social media data
by Taufik Faturohman & Sudarso Kaderi Wiryono & Hasna Laila Nabila Khilfah & Allesandra Andri & Muhammad Abdullah Hamzah & Okta Saputra & Gun Gun Indrayana - 201-211 The perceived usefulness of accrual-based financial statements and influencing factors at local government
by Rindu Rika Gamayuni - 201-211 The perceived usefulness of accrual-based financial statements and influencing factors at local government
by Rindu Rika Gamayuni - 212-220 Cultural and institutional interaction effects on firm bribery
by Piyaphan Changwatchai & Siwapong Dheera-aumpon - 212-220 Cultural and institutional interaction effects on firm bribery
by Piyaphan Changwatchai & Siwapong Dheera-aumpon - 221-228 The effect of institutional distance on foreign direct investment in Thailand
by Siwapong Dheera-aumpon & Piyaphan Changwatchai - 221-228 The effect of institutional distance on foreign direct investment in Thailand
by Siwapong Dheera-aumpon & Piyaphan Changwatchai - 229-237 User acceptance of Islamic banking in Indonesia: the implementation of technology acceptance models
by Taufik Faturohman & Mega Zhafarina Purwono & Say Keat Ooi - 229-237 User acceptance of Islamic banking in Indonesia: the implementation of technology acceptance models
by Taufik Faturohman & Mega Zhafarina Purwono & Say Keat Ooi - 238-246 Asymmetric volatility spillovers between Bitcoin, oil, and global stocks in economic uncertainty
by Surachai Chancharat & Parichat Sinlapates - 238-246 Asymmetric volatility spillovers between Bitcoin, oil, and global stocks in economic uncertainty
by Surachai Chancharat & Parichat Sinlapates - 247-255 Building trust in airline service: an empirical study
by Marcellia Susan & Hamfri Djajadikerta - 247-255 Building trust in airline service: an empirical study
by Marcellia Susan & Hamfri Djajadikerta
2024, Volume 17, Issue 1
- 1-28 Does FinTech adoption improve bank performance?
by Wei Wang & Fernando Moreira & Yiteng Liang - 1-28 Does FinTech adoption improve bank performance?
by Wei Wang & Fernando Moreira & Yiteng Liang - 29-48 Are machine learning models more effective than logistic regressions in predicting bank credit risk? An assessment of the Brazilian financial markets
by Alex Cerqueira Pinto & Alexandre Xavier Ywata de Carvalho & Mathias Schneid Tessmann & Alexandre Vasconcelos Lima - 29-48 Are machine learning models more effective than logistic regressions in predicting bank credit risk? An assessment of the Brazilian financial markets
by Alex Cerqueira Pinto & Alexandre Xavier Ywata de Carvalho & Mathias Schneid Tessmann & Alexandre Vasconcelos Lima - 49-73 Indian stock market sensitivity to macroeconomic and non-macroeconomic factors: an industry-level analysis
by Muhammadriyaj Faniband & Pravin Jadhav - 49-73 Indian stock market sensitivity to macroeconomic and non-macroeconomic factors: an industry-level analysis
by Muhammadriyaj Faniband & Pravin Jadhav - 74-96 ESG performance and cost of capital: what do we know? Evidence from the US
by Ricky Wong & Hoang Thi My Nguyen & Nana Abena Kwansa - 74-96 ESG performance and cost of capital: what do we know? Evidence from the US
by Ricky Wong & Hoang Thi My Nguyen & Nana Abena Kwansa - 97-122 The impact of corporate social responsibility disclosure and board characteristics on firm performance: evidence from Vietnam-listed firms
by Quynh Lien Le & Van Thinh Vu & Quynh Trang Le & Anh Linh Nguyen & Phuong Anh Luong & Thi Tam Nguyen - 97-122 The impact of corporate social responsibility disclosure and board characteristics on firm performance: evidence from Vietnam-listed firms
by Quynh Lien Le & Van Thinh Vu & Quynh Trang Le & Anh Linh Nguyen & Phuong Anh Luong & Thi Tam Nguyen
2023, Volume 16, Issue 5
- 309-333 The relationship between investor sentiment and stock returns: the case of the S%P 500 companies
by Rawya Ben Youssef & Fathi Jouini - 334-347 Economic resilience of large urbanised Russian regions to pandemic-induced shocks
by Irina D. Turgel & Olga A. Chernova - 348-396 Effect of company characteristics and board structure on human resource disclosure index in Indian corporate sector
by Kirti Aggarwal - 397-416 Understanding the effects of COVID-19 on regime switching behaviour of Asian stock markets
by Bhaskar Bagchi & Raktim Ghosh - 417-425 Investigation of relative superiority of business valuation methods
by Kay Zekany & Musa Essayyad
2023, Volume 16, Issue 3/4
- 179-187 Housing regimes and macroeconomy in South Africa: a tripartite analysis
by Adefemi A. Obalade & Lusanda Mbatha & Nkululeko Radebe & Nosipho Dlamini & Nqobile Dludla & Paul-Francois Muzindutsi - 179-187 Housing regimes and macroeconomy in South Africa: a tripartite analysis
by Adefemi A. Obalade & Lusanda Mbatha & Nkululeko Radebe & Nosipho Dlamini & Nqobile Dludla & Paul-Francois Muzindutsi - 188-196 The impact of continuous tightening policies on China's real estate industry
by Tuo Han & Jianing Zhang - 188-196 The impact of continuous tightening policies on China's real estate industry
by Tuo Han & Jianing Zhang - 197-205 An application of survival analysis to the impact of the COVID-19 epidemic on Thailand's stock market volatility
by Suchunya Khainsiri & Surachai Chancharat - 197-205 An application of survival analysis to the impact of the COVID-19 epidemic on Thailand's stock market volatility
by Suchunya Khainsiri & Surachai Chancharat - 206-212 Financial impact of COVID-19: non-pharmaceutical interventions in Indonesia
by Ana Noveria & Muhamad Fikri - 206-212 Financial impact of COVID-19: non-pharmaceutical interventions in Indonesia
by Ana Noveria & Muhamad Fikri - 213-221 The impact of government subsidies on the innovation of new energy vehicle companies
by Zhilin Ding & Jianing Zhang - 213-221 The impact of government subsidies on the innovation of new energy vehicle companies
by Zhilin Ding & Jianing Zhang - 222-230 Factors influencing the acceptance of Fintech lending platform in Indonesia: an adoption of technology acceptance model
by Maretta Arninda Dianty & Taufik Faturohman - 222-230 Factors influencing the acceptance of Fintech lending platform in Indonesia: an adoption of technology acceptance model
by Maretta Arninda Dianty & Taufik Faturohman - 231-242 Analysis of the implications of role stress towards innovative behaviour and the success of womenpreneurs in Banten Province, Indonesia
by Sam'un Jaja Raharja & Rusdin Tahir & Sitti Ma'ani Nina - 231-242 Analysis of the implications of role stress towards innovative behaviour and the success of womenpreneurs in Banten Province, Indonesia
by Sam'un Jaja Raharja & Rusdin Tahir & Sitti Ma'ani Nina - 243-251 Factors influencing university-to-industry knowledge transfer
by Lina Anatan - 243-251 Factors influencing university-to-industry knowledge transfer
by Lina Anatan - 252-260 Artificial neural network to develop loan default predicting model using social media data: a case study of online peer to peer lending
by Taufik Faturohman & Muhammad Abdullah Hamzah Syaiful Mukminin & Sudarso Kaderi Wiryono & Gun Gun Indrayana & Raden Aswin Rahadi & Kurnia Fajar Afgani - 252-260 Artificial neural network to develop loan default predicting model using social media data: a case study of online peer to peer lending
by Taufik Faturohman & Muhammad Abdullah Hamzah Syaiful Mukminin & Sudarso Kaderi Wiryono & Gun Gun Indrayana & Raden Aswin Rahadi & Kurnia Fajar Afgani - 261-271 Effect of the audit hours regulation on audit fees and scale efficiency in audit firms: Korean evidence
by Jayoun Won & Sang-Lyul Ryu - 261-271 Effect of the audit hours regulation on audit fees and scale efficiency in audit firms: Korean evidence
by Jayoun Won & Sang-Lyul Ryu - 272-281 The impact of forensic auditing techniques on non-government organisations' fraud risk management in South Africa using a proactive approach
by Jean Damascene Mvunabandi & Bomi Nomlala & Harold Patrick - 272-281 The impact of forensic auditing techniques on non-government organisations' fraud risk management in South Africa using a proactive approach
by Jean Damascene Mvunabandi & Bomi Nomlala & Harold Patrick - 282-290 Corporate board and shareholder structure, cost of capital, and the performance of Thai listed companies: the application of path analysis
by Nongnit Chancharat & Boonyarit Kotphootorn - 282-290 Corporate board and shareholder structure, cost of capital, and the performance of Thai listed companies: the application of path analysis
by Nongnit Chancharat & Boonyarit Kotphootorn - 291-299 Islamic social reporting index, company performance, and market performance
by Lindrianasari & Ira Oktamalia & Widya Rizki Eka Putri - 291-299 Islamic social reporting index, company performance, and market performance
by Lindrianasari & Ira Oktamalia & Widya Rizki Eka Putri - 300-308 Ownership structure and earnings management: studies on banking companies before and during the COVID-19 pandemic
by Anna Purwaningsih & Anggreni Dian Kurniawati & Yohanes Mario Pratama - 300-308 Ownership structure and earnings management: studies on banking companies before and during the COVID-19 pandemic
by Anna Purwaningsih & Anggreni Dian Kurniawati & Yohanes Mario Pratama
2023, Volume 16, Issue 2
- 83-104 Heterogeneous drivers of Nordic capital market movements in the light of UMP
by Mercédesz Mészáros & Gábor Dávid Kiss - 83-104 Heterogeneous drivers of Nordic capital market movements in the light of UMP
by Mercédesz Mészáros & Gábor Dávid Kiss - 105-120 The pandemic emergency asset purchase and the sovereign bond market connectedness
by Tarek Chebbi & Waleed Hmedat - 105-120 The pandemic emergency asset purchase and the sovereign bond market connectedness
by Tarek Chebbi & Waleed Hmedat - 121-138 Financial contagion among stock markets and portfolio risk during the COVID-19 crisis
by Mohamed Yousfi & Houssam Bouzgarrou - 121-138 Financial contagion among stock markets and portfolio risk during the COVID-19 crisis
by Mohamed Yousfi & Houssam Bouzgarrou - 139-156 Household debt, inequality, and financial stability nexus
by Margaret Rutendo Magwedere & Godfrey Marozva - 139-156 Household debt, inequality, and financial stability nexus
by Margaret Rutendo Magwedere & Godfrey Marozva - 157-176 Impact of Covid-19 on broader indices of Indian stock market
by Girija Nandini & Ratidev Samal & Alaka Samantaray & Rashmi Ranjan Panigrahi - 157-176 Impact of Covid-19 on broader indices of Indian stock market
by Girija Nandini & Ratidev Samal & Alaka Samantaray & Rashmi Ranjan Panigrahi
2023, Volume 16, Issue 1
- 1-22 The influence of market power on bank risk-taking in the Euro area countries during the inter-crises period
by Adriana Novotná & Kristína Kočišová - 1-22 The influence of market power on bank risk-taking in the Euro area countries during the inter-crises period
by Adriana Novotná & KristÃna KoÄ iÅ¡ová - 23-39 The impact of low interest rates on the bank profitability
by Tomáš Fabian & Kristína Kočišová - 23-39 The impact of low interest rates on the bank profitability
by Tomáš Fabian & KristÃna KoÄ iÅ¡ová - 40-57 Impact of novel coronavirus outbreak-related announcements on pharmaceutical stocks: empirical evidence from an emerging market
by Vineeta Kumari & Varun Kumar Rai & Dharen Kumar Pandey - 40-57 Impact of novel coronavirus outbreak-related announcements on pharmaceutical stocks: empirical evidence from an emerging market
by Vineeta Kumari & Varun Kumar Rai & Dharen Kumar Pandey - 58-82 Differential impacts of fiscal consolidation policies under alternative monetary regimes: evidence from Indian economy
by Ishfaq Ahmad & Javaid Iqbal - 58-82 Differential impacts of fiscal consolidation policies under alternative monetary regimes: evidence from Indian economy
by Ishfaq Ahmad & Javaid Iqbal
2022, Volume 15, Issue 4
- 309-330 Volatility contagion (spillover) between Chinese and Pakistani stock markets during COVID-19: pre and post analysis of trade-level data
by Syed Faisal Hasan Bukhari & Habib Ahmad & Hasan Hanif & Syed Farhan Shah - 331-352 Measuring the impact of exchange rate volatility on the depth and efficiency of the financial sector: evidence from Nigeria
by Ezekiel Olamide Abanikanda - 353-373 The impact of economic freedom on the risk-taking behaviours of Vietnamese commercial banks
by Buu Kiem Dang & Anh Dang Bao Phan - 374-385 Digital banking service in Indonesia: Does it really matter for bank performance? Evidence from Indonesian commercial banks
by Nurmadi Harsa Sumarta & Muhammad Agung Prabowo & Nugroho Saputro - 386-405 Islamic banking deposits in Indonesia: Do spatial effects matter?
by Eko Suprayitno & Silvia Vara Dhita
2022, Volume 15, Issue 3
- 201-212 Islamic banks' merger: the case of Bank Syariah Indonesia
by Ayu Dwi Utami & Tastaftiyan Risfandy & Rolina Rahardjoputri - 213-231 Sharia supervisory board, maqasid syariah, and accounting-based performance: evidence from Indonesia
by Hasan Mukhibad & Doddy Setiawan & Rahmawati & Mahameru Rosy Rochmatullah & Warsina - 232-252 Do mosques use Islamic bank services? Evidence from Indonesia
by Khansa Fairuz & Adam Adhe Nugraha & Farhan Medio Yudantyo & Novat Pugo Sambodo & Evi Aninatin Ni'matul Choiriyah & Umminita Wahyu Pertiwi & Riswanti Budi Sekaringsih - 253-272 Do business models in Islamic bank matters? The effect of business models on bank performance and stability
by Fakhrana Nadhilah & Oktofa Yudha Sudrajad - 273-292 The determinants of deposits in Islamic and conventional banks: an Indonesian study
by Eko Fajar Cahyono & Lina Nugraha Rani & M. Fariz Fadillah Mardianto - 293-308 Do intellectual capital and financing matter for the profitability of the Islamic banking industry in Indonesia?
by Fauziah Aida Fitri & Muhammad Syukur & M. Shabri Abd. Majid & Intan Farhana & Fakhri Hatta
2022, Volume 15, Issue 2
- 95-117 Payout policy, investment efficiency, and corporate performance in the Asia Pacific: does boardroom diversity matter?
by Ijaz Ur Rehman - 118-137 Investigating contagion effect of the recent Turkey currency crisis
by Narinder Pal Singh & Suzan Dsouza - 138-153 Cyclicality of bank liquidity in Vietnam
by Van Dan Dang - 154-172 The Chinese banking sector's structured deposits: growth, role in interest rate pass-through, and implications
by Kerry Liu - 173-193 Impact of market competitiveness and risk management of NPAs of Indian banks on its efficiency
by Jagjeevan Kanoujiya & Shailesh Rastogi
2022, Volume 15, Issue 1
- 1-18 Do macro-economic factors drive life insurance growth? An empirical analysis
by Abhijit Chakraborty & Ashim Kumar Das - 19-34 A trend analysis of Eurobond yields in Africa
by Misheck Mutize - 35-57 Empirical evidence of the monetary approach to the exchange rate determinants under a fully flexible regime: the case of Mexico
by Alberto Gallegos-David & Arturo Lorenzo-Valdes & Bárbara Trejo-Becerril - 58-77 The bank liquidity creation channel of monetary policy transmission in a multiple-instrument environment
by Van Dan Dang - 78-93 Stock price crash risk: the role of systematic skewness
by Woraphon Wattanatorn & Chaiyuth Padungsaksawasdi
2021, Volume 14, Issue 5
- 411-426 Analysis of currency volatility from a macroeconomic perspective: the case of selected emerging market economies (EMEs)
by Aadila Hoosain & Alta Joubert & Emmanuel Owusu-Sekyere - 427-437 Treasury triplets and the efficiency of the US treasury marketplace
by Anne M. Anderson & Richard J. Kish - 438-459 Threshold effects of inflation on the financial development-economic growth nexus in Tunisia
by Kamel Helali & Khoutem Ben Jedidia & Thouraya Boujelbène - 460-476 Complexity of exchange rate movement, analysis and volatility forecasting models: a review
by Alexander Amo Baffour & Kofi Nyarko Gyimah & Alexander Owiredu - 477-496 Assessment of return and volatility spillover across sectors' indices: evidence from Pakistan stock exchange
by Hafiza Muntaha Khalid & Sadia Farooq & Faiza Liaqat & Muhammad Naeem
2021, Volume 14, Issue 4
- 297-305 The relevance of fair value after the adoption of IFRS 13: fair value measurement and the role of audit committee
by Atika Rizki & Aria Farah Mita - 306-313 How are residential property prices formed in Japan under different monetary policy regimes
by Takayasu Ito - 314-322 Is value premium driven by risk in the stock exchange of Thailand? A comparison of the Fama/French three-factor model and Fama/French five-factor model
by Nongnit Chancharat & Parichat Sinlapates - 323-331 The profitability of trading strategies based on historical prices and risk: evidence from Thailand
by Surachai Chancharat & Parichat Sinlapates - 332-341 The impact of board structure on performance of Thai-listed companies in Market for Alternative Investment (mai)
by Natthawipha Kitivuttishusilp & Nongnit Chancharat - 342-352 Modelling exchange rate movements in South Africa: an ARDL application
by Paul-Francois Muzindutsi & Zama Zungu & Minenhle Khanyile & Thalente Dlamini & Andile Sithole & Adefemi A. Obalade - 353-362 Impact of corporate governance and financial stability on bank risk in Malaysia
by Mei Foong Wong - 363-372 Scale efficiency and marginal revenue product at the audit service level: evidence from Korea
by Sang-Lyul Ryu & Jayoun Won - 373-383 Cause-effect relationship between toxic factors and well-being at work
by Alena Fedorova & Zuzana Dvorakova & Ilze Kacane & Hüseyin Atas & Valeriya Badambayeva - 384-393 Factors affecting the turnover intention of bank employees at the West Java Regional XBank Indonesia community
by Pratami Wulan Tresna & Herwan Abdul Muhyi & Anggi Nurhidayah - 394-403 Does political motives affect local government financial statement quality?
by Nurmali Agustina & Dyah Setyaningrum - 404-410 The effect of global value chain on the environment: the case of CO 2 emission
by Piyaphan Changwatchai
2021, Volume 14, Issue 3
- 197-211 Ownership structure segmentation of Indian listed firms: a governance perspective
by Ruchi Kansil - 212-232 Data envelopment analysis of the impact and performance of China stock market's global integration: empirical analysis of MSCI China
by Haochen Guo - 233-248 The local currency oil price and food price relationship for Turkey: a dynamic correlation and time-frequency dependency analysis
by Hasan Murat Ertuğrul - 249-264 Impact of the COVID-19, lockdown and unlock on the Indian stock market and its international linkage with the Chinese stock market
by Narinder Pal Singh & Himanshu Goel & Shabnam Kumari - 265-294 Responses of macroeconomy and stock markets to structural oil price shocks: new evidence from Asian oil refinery
by Thai Le & Marta Disegna
2021, Volume 14, Issue 2
- 105-130 The heterogeneity in adjustment speeds toward corporate target leverage: the case of Vietnam
by An Thai & Radu Burlacu - 131-141 Behavioural economics and the Phillips curve: new evidence from sectoral survey data
by Tobias F. Rötheli - 142-151 Financial literacy of SMEs in Citarum Watershed Area, Indonesia
by Sam'un Jaja Raharja & Nenden Kostini - 152-165 Does non-linearity in exchange rate hold in Nigeria? evidence from smooth transition autoregressive model
by James Temitope Dada & Philip Akanni Olomola & Adebayo Adedokun - 166-187 Explaining the endogeneity between the credit risk, liquidity risk, and off-balance sheet activities in commercial banks: a case of South Asian economies
by Muhammad Farhan Basheer & Waeibrorheem Waemustafa & Mohamad Helmi Bin Hidthiir & Saira Ghulam Hassan - 188-195 Actual participation: the effects of information sharing and familiarity team on budget decision quality
by Apriwandi & R.A. Supriyono
2021, Volume 14, Issue 1
- 3-22 Revenue efficiency: a distributional analysis in the European banking
by Kristína Kočišová & Peter Šugerek - 23-34 Assessment of selected aspects of financial stability of the Czech banks
by Iveta Palečková & Pavla Klepková Vodová - 35-53 The impacts of monetary policy of the Czech National Bank on selected economic indicators
by Liběna Černohorská - 54-68 BVAR models in short-term prediction of modern central banks: empirical evidence of the euro area
by Aleksandra Nocoń - 69-90 The relationship of liquid money and selected price indices in the USA
by Jan Černohorský - 91-104 Role of deposit insurance schemes on financial markets
by Magdalena Kozińska
2020, Volume 13, Issue 5
- 429-445 Explaining the stock-stock, bond-bond and stock-bond correlation across countries
by David G. McMillan - 446-470 The effect of diversification on bank performance in dual banking system
by Fazelina Sahul Hamid - 471-484 The impact of monetary policy on overall and sectoral economic growth: evidence from Tunisian central bank in crisis periods
by Guenichi Hassen & Khalfaoui Hamdi - 485-501 Dividend policy and the bank-firm relationship: evidence from Tunisian context
by Khaoula Aliani & Lama Al-Kayed & Marwa Gouasmia - 502-512 Abuses based on the deficit of information in financial markets: the case of presenting the interest rate in basic financial offers
by Bożena Frączek
2020, Volume 13, Issue 4
- 317-340 Risk governance and bank performance in Sub Saharan Africa: dynamic panel evidence
by Adamu Yahaya & Fauziah Mahat & B.T. Matemilola - 341-361 Audit committee member characteristics and committee effectiveness: evidence from Turkish banking sector
by Yaman Erzurumlu & Gurcan Avci - 362-382 Debt and profitability: evidence from Bangladesh
by Mumtahina Islam & G.M. Wali Ullah - 383-416 Expansionary monetary policy and bank lending: the case of new Euro Area member states
by Boris Fisera & Jana Kotlebova - 417-427 Flexible and standard fiscal rules in context of stability of public finances
by Agnieszka Przybylska-Mazur
2020, Volume 13, Issue 3
- 179-188 Profit-shifting through Panama Papers destinations: a case study for the Czech Republic
by Veronika Solilová & Danuše Nerudová & Marek Litzman & Marian Dobranschi - 189-197 Equity markets and investment patterns: the network perspective
by Muhammad Mohsin Hakeem - 198-205 Cultural distance and Thailand's foreign direct investment attractiveness
by Piyaphan Changwatchai & Siwapong Dheera-aumpon - 206-214 Transformation of labour relations in the context of global economic and social risks
by Alena Fedorova & Zuzana Dvorakova & Olga Koropets - 215-234 Static or adaptive? the month-of-the-year and intra-month effects in African stock markets
by Adefemi A. Obalade & Paul-Francois Muzindutsi - 235-243 Financial reporting quality: the case of Czech and German listed companies
by Patrik Svoboda & Barbora Poskočilová & Hana Bohušová - 244-252 Do managements tell us the whole truth and nothing but the truth? Impact of textual sentiment in financial disclosure to future firm performance and market response in Thailand
by Siriyos Chuthanondha - 253-259 Can an integrated reporting system in Thai context create sustainable value to users?
by Neungruthai Petcharat - 260-268 Achieving earnings target through real activities manipulation: lesson from stock exchange of Thailand
by Karoon Suksonghong & Azlan Amran - 269-278 Corporate governance and voluntary disclosures: a story about corporate transparency from Indonesia
by Fitra Roman Cahaya & Gunadi Yoga - 279-286 The effect of three types of agency problems on the firm performance: evidence from Indonesia
by Ni Luh Gde Lydia Kusumadewi & Ratna Wardhani - 287-295 Socio-economic, information and communication technology, and banking performance for financial inclusion index in Indonesia
by Sylviana Maya Damayanti & Ditasa Madira & Raden Aswin Rahadi & Arinda Mentari Putri - 296-305 Media promotion, Islamic religiosity and Muslim community perception towards charitable giving of cash waqf
by Vika A. Qurrata & Linda Seprillina & Bagus S. Narmaditya & Nor Ermawati Hussain - 306-316 Effects of innovation factors on SME performance: study on SMEs in food and beverages centers in Cimahi, Indonesia
by Ratna Meisa Dai & Sam'un Jaja Raharja
2020, Volume 13, Issue 2
- 89-110 Analysing the impact of corporate stock buybacks in China and the US equity markets
by Haochen Guo - 111-129 Stock liquidity and capital structure: evidence from Saudi listed firms
by Yomna Abdulla & Rabab Ebrahim - 130-145 Dynamics of inflation and inflation uncertainty in Pakistan
by Kashif Munir & Nimra Riaz - 146-162 Impact of repatriation taxes and earned/contributed capital mix on dividend repatriation policy: the moderating role of firm financial maturity
by Muhammad Tahir & Haslindar Ibrahim & Abdul Hadi Zulkafli & Muhammad Mushtaq - 163-176 Are there differences in the use of debt capital in enterprises of different size?
by Petra Růčková & Daniel Stavárek
2020, Volume 13, Issue 1
- 1-15 Stock returns indicator: case of Tadawul
by Issam Tlemsani - 16-33 The aftermaths of acquisition in Indonesia
by Muhammad Syukur & Dej-anan Bungkilo - 34-67 Internal and external determinants of listed commercial banks' profitability in India: dynamic GMM approach
by Eissa A. Al-Homaidi & Faozi A. Almaqtari & Ali T. Yahya & Amgad S.D. Khaled - 68-88 Interpreting survey-based federal funds rate forecasts: how accurate are they in reflecting market expectations?
by Max Kwong & David Leung & Alfred Wong & Jiayue Zhang
2019, Volume 12, Issue 5
- 343-360 Analysis of the demand for the alternative currency WIR
by Katerina Gawthorpe - 361-389 Unconventional monetary policy in US: empirical evidence from estimated shadow rate DSGE model
by Rui Wang - 390-406 The risk-return trade-off of liquidity positions: evidence from Vietnamese banking system
by Van Dan Dang - 407-425 Modelling and forecasting long memory time series with exponential and switching GARCH models
by Esmail Amiri - 426-444 Demonetisation upshot on the volatility and returns of banking sector stocks of national stock exchange
by Jincy K. John & R. Amudha & M. Muthukamu
2019, Volume 12, Issue 4
- 249-273 The information set of the Fed's policy reaction function
by Nikiforos T. Laopodis - 274-289 Do credit default swaps affect the time-varying cointegration between PIIGS's sovereign interest rates?
by José Soares Da Fonseca - 290-308 Value relevance of book values and earnings of listed non-financial firms in South Africa: a dynamic panel analysis
by Atanas Sixpence & Olufemi Patrick Adeyeye - 309-324 A partial two sector banking model with interest on reserves
by Shawn Osell - 325-342 Corporate social responsibility effect on firm's financial performance in Jordan
by Fouzan Al Qaisi
2019, Volume 12, Issue 3
- 169-179 Banks' financial innovation and the demand on money
by Ala' Bashayreh & Mohammad W. Alomari & Samer Abdelhadi & Naderh Mryan - 180-195 On the drivers of inflation in Iraq
by Hatem Hatef Abdulkadhim Altaee & Sazan Taher Saeed - 196-211 The signalling cost of hiring a large auditor: evidence from the fee differential between large and small auditors
by Michael K. Fung & Louis T.W. Cheng & Tak-yan Leung - 212-232 China's reserve requirements and their effects on economic output and assets markets during 2008-2018
by Kerry Liu