Browse Title Index


 
Issue Title
 
Vol 5, No 01 (2017): February On the timing of managed funds’ industry exposure Abstract   PDF
Julia Sawicki
 
Vol 3, No 02 (2015): April Overeducation among Graduates from Universities of Applied Sciences: Determinants and Consequences Abstract   PDF
Andrea Diem
 
Vol 3, No 03 (2015): June Price impact of informed trades in the U.S. treasury markets Abstract   PDF
Onem Ozocak
 
Vol 4, No 02 (2016): April Properties of the Financial Break-Even Point in a Simple Investment Project As a Function of the Discount Rate Abstract   PDF
Domingo Alberto Tarzia
 
Vol 5, No 3 (2017): June Proportional Hazards Model of Bank Failure: Evidence from USA Abstract   PDF
Raymond A. K. Cox, Randall K. Kimmel, Grace W.Y. Wang
 
Vol 2, No 01 (2014): February Public Sector Financial Management and Output Growth in Nigeria: A Predictive Causality Test and Two-stage Least Square Approach Abstract   PDF
Ernest Simeon Odior, Raymond OsiAlenoghena
 
Vol 4, No 06 (2016): December Rand volatility and inflation in South Africa Abstract   PDF
Azwifaneli Innocentia (Mulaudzi) Nemushu
 
Vol 3, No 05 (2015): October Rationality in a general model of choice Abstract   PDF
Somdeb Lahiri
 
Vol 4, No 05 (2016): October Real wages, inflation, and labor productivity: Evidences from Bulgaria and Romania Abstract   PDF
Chaido Dritsaki
 
Vol 2, No 03 (2014): June Reasons of 2008 Global Economic Crisis, Measures Taken and Recommendations for Turkey Abstract   PDF
Mustafa METE, Filiz SANAL ÇEVİK, M.Vahit EREN
 
Vol 5, No 05 (2017): October (Ongoing) Recent monetary policy effects on Japanese macroeconomy Abstract   PDF
Yutaka Kurihara
 
Vol 3, No 03 (2015): June Re-gendering globalization: Overcoming the phenomenon of gendering globalization Abstract   PDF
Sadia Afrin, Mahmudul Hasan, Muhammad Raquib
 
Vol 2, No 04 (2014): August Regional Supplier Associations as the Producers of Transnational Club Goods in Latin American and Caribbean Utility Markets Abstract   PDF
Jacqueline Horrall, Sunita Mondal
 
Vol 4, No 01 (2016): February Relation between ISE 30 index and ISE 30 index futures markets: Evidence from recursive and rolling cointegration Abstract   PDF
Aysegul Ates
 
Vol 3, No 02 (2015): April Relationship between Energy Consumption, CO2 Emissions, Economic Growth and Trade in India Abstract   PDF
Srinivasan Palamalai, Inder Siddanth Ravindra, Karthigai Prakasam
 
Vol 3, No 03 (2015): June Relevance of risk information for depositors’ judgment and decision-making Abstract   PDF
Kathrin Jordan, Susanne Homölle
 
Vol 4, No 04 (2016): August Religious holidays and analysts forecast optimism: Evidence from MENA countries Abstract   PDF
Harit Satt
 
Vol 1, No 01 (2013): December Risk weighted alpha index – analysis of the ASX50 index Abstract   PDF
Nipun Agarwal
 
Vol 1, No 01 (2013): December Should universities be subsidized? – A reference point view Abstract   PDF
Eva Berde
 
Vol 5, No 04 (2017): August Socio-economy and stock market volatility Abstract   PDF
Md Sharif Hossain, Md.Thasinul Abedin
 
Vol 5, No 04 (2017): August Sources of oil price shocks and external balance in Ghana Abstract   PDF
William Godfred Cantah, Camara K Obeng, William G Brafu-Insaidoo
 
Vol 4, No 02 (2016): April Still on board configuration: SEC recommendations and the efficiency of adhering firms in Nigeria Abstract   PDF
Bello Lawal
 
Vol 3, No 02 (2015): April Stock price reaction to share repurchase announcements by banks in normal and crisis times Abstract   PDF
Jijun Niu
 
Vol 3, No 01 (2015): February Testing Benjamin Graham’s net current asset value model Abstract   PDF
Chongsoo An, John J. Cheh, Il-woon Kim
 
Vol 2, No 03 (2014): June The arena of multiinterest, governance and fraud – A critical review of BC bailout Abstract   PDF
Ruddy Tri Santoso, Sujoko Efferin
 
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