Browse Title Index

Issue Title
Vol 3, No 1 (2019) A Modified Risk Parity Method for Asset Allocation Abstract   PDF   HTML
Akhilesh Maewal, Joel R. Bock
Vol 2, No 1 (2018) A Study on Regime Type and Globalization in Simultaneous Equation Framework Abstract   PDF   HTML
Sudhanshu K. Mishra
Vol 3, No 1 (2019) Analysis of Equity β Components: New Results and Prospectives in a Low β Framework Abstract   PDF   HTML
Antonio Amendola, Dennis M. Montagna, Mario Maggi
Vol 1, No 2 (2017) Can Management Practices Make a Difference? Nonprofit Organization Financial Performance during Times of Economic Stress Abstract   PDF   HTML
Qian Hu, Naim Kapucu
Vol 3, No 2 (2019) Convexity Adjustments Made Easy: An Overview of Convexity Adjustment Methodologies in Interest Rate Markets Abstract   PDF   HTML
Nicholas BURGESS
Vol 1, No 2 (2017) Determinants of Industrial Production in Turkey Abstract   PDF   HTML
Mustafa Ozturk, Yavuz Agan
Vol 4, No 1 (2020) Determinants of Inflationary Experience in Ethiopia Abstract   PDF
Teshale D. BEDADA, Wondaferahu M. DEMISSIE, Endeg T. WOLDE
Vol 2, No 2 (2018) Differential Investors’ Response to Restatement Announcements: An Empirical Investigation Abstract   PDF   HTML
Sebahattin Demirkan, Harlan Platt
Vol 4, No 1 (2020) Does Corporate Governance Mechanisms Matter in Explaining Risk Management? Evidence from Non-Financial Kenyan Listed Firms Abstract   PDF
Thomas Kiptanui TARUS
Vol 2, No 1 (2018) Does it take two to tango: Interaction between Credit Default Swaps and National Stock Indices Abstract   PDF   HTML
Yhlas Sovbetov, Hami Saka
Vol 3, No 2 (2019) Does Portfolio Quality Influence Financial Sustainability? A Case of Microfinance Institutions in Kenya Abstract   PDF   HTML
Stephen Kosgei BITOK, Josephat CHEBOI, Ambrose KEMBOI
Vol 1, No 1 (2017) Does Statistical Significance Help to Evaluate Predictive Performance of Competing Models? Abstract   PDF   HTML
Levent Bulut
Vol 2, No 2 (2018) Factors Influencing Cryptocurrency Prices: Evidence from Bitcoin, Ethereum, Dash, Litcoin, and Monero Abstract   PDF   HTML
Yhlas Sovbetov
Vol 4, No 1 (2020) Finance-Growth Nexus and Globalization in Brazil, India, Philippines, Thailand, and Turkey: Evidence from VECM Cointegration Analysis Abstract   PDF
Takashi FUKUDA
Vol 2, No 1 (2018) Financial Contagion in the BRICS Stock Markets: An empirical analysis of the Lehman Brothers Collapse and European Sovereign Debt Crisis Abstract   PDF   HTML
Dirceu Pereira
Vol 3, No 2 (2019) Foreign Remittances, Private Sector Investment and Banking Sector Development Abstract   PDF   HTML
Peter Nderitu GITHAIGA
Vol 1, No 1 (2017) Global Credit Supply and External Exposure in Turkey Abstract   PDF   HTML
Amira Karimova, Ahmet Caliskan, Jamshid Karimov
Vol 2, No 1 (2018) Impact of Health Care Employees’ Job Satisfaction on Organizational Performance Support Vector Machine Approach Abstract   PDF   HTML
Cemil Kuzey
Vol 3, No 1 (2019) Implication of Credit Supervision Practices on Portfolio at risk of Microfinance Institutions in Tanzania Abstract   PDF   HTML
Danstun B. Ngonyani, Harun J. Mapesa
Vol 3, No 2 (2019) Income Diversification, Market Power and Performance Abstract   PDF   HTML
Peter Nderitu GITHAIGA
Vol 1, No 1 (2017) Inequality and Sovereign Default under Democracy Abstract   PDF   HTML
Yong Kyun Kim
Vol 1, No 1 (2017) Interaction of Economic Freedom and Foreign Direct Investment Globally: Special Cases from Neglected Regions Abstract   PDF   HTML
Yhlas Sovbetov, Mohamed Moussa
Vol 2, No 2 (2018) Interest Rate Swaptions: A Review and Derivation of Swaption Pricing Formulae Abstract   PDF   HTML
Nicholas Burgess
Vol 1, No 1 (2017) Launch Decisions of Pharmaceutical Companies Abstract   PDF   HTML
Abdulkadir Civan, Michael Maloney
Vol 3, No 1 (2019) Measuring Predictability of Oil and Gas Stock Returns and Performance of Moving Average Trading Rules Abstract   PDF   HTML
Muhammad Surajo Sanusi, Farooq Ahmad
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