Browse Title Index


 
Issue Title
 
Vol 7, No 11 (2015) Attitudes and Purchase Intention Towards Counterfeiting Luxurious Fashion Products in Vietnam Abstract   PDF
Nguyen Minh Ha, Huynh Luong Tam
 
Vol 8, No 3 (2016) Audit Committee, Corporate Governance and Firm Performance: Empirical Evidence from India Abstract   PDF
Nidhi Bansal, Anil K. Sharma
 
Vol 1, No 1 (2009) Audit Independence and Expectation Gap: Empirical Evidences from Iran Abstract   PDF
Mahdi Salehi, Ali Mansoury, Zhila Azary
 
Vol 7, No 8 (2015) Audit Structure, Time Pressure and Judgment Accuracy: A Comparison between Strategic System Audit and Traditional Audit Abstract   PDF
Murad Abuaddous, Mustafa Mohd Hanefah, Nur Hidayah Laili
 
Vol 6, No 1 (2014) Auditor Choice and Corporate Bond Ratings: International Evidence Abstract   PDF
Hamdi Ben-Nasr, Hatem Ghouma, El-Mehdi Alami
 
Vol 6, No 9 (2014) Auditor Reports, Audit Fees, and CEO Compensation Abstract   PDF
Yinghong Zhang, Chunwei Xian
 
Vol 6, No 10 (2014) Autocorrelated Order-Imbalance and Price Momentum in the Stock Market Abstract   PDF
Rahul Ravi, Yuqing Sha
 
Vol 8, No 9 (2016) Awareness Level of Professional Independence Requirements, through Assimilation of Fundamental Principles of Professional Ethics, by Jordanian CPA Auditors, in Auditing Process: Field Study Abstract   PDF
Raed Jameel Jaber, Marwan Mohammad Abu Fadda
 
Vol 1, No 2 (2009) Back to the Basics: A Process Approach for Managing Portfolio Risk Abstract   PDF
Ronald R. Mau
 
Vol 7, No 6 (2015) Bank Capital Ratio, Prudential Regulation and Liquidity Risk Taking: Behavior of Tunisian Banks in a Simultaneous Approach Abstract   PDF
Hichem Maraghni, Faten Ben Bouheni
 
Vol 4, No 12 (2012) Bank Characteristics and Liquidity Transformation: The Case of GCC Banks Abstract   PDF
Ritab Al-Khouri
 
Vol 6, No 2 (2014) Bank Consolidation and Market Structure in Nigeria: Application of the Herfindahl-Hirschman Index Abstract   PDF
Bashorun Oladipo Titilayo, Ojapinwa Taiwo Victor
 
Vol 7, No 4 (2015) Bank Lending Channel in Monetary Policy Transmission: Evidence from Russia Abstract   PDF
Shigeki Ono
 
Vol 5, No 1 (2013) Bank Lending in Project Finance: The New Regulatory Capital Framework Abstract   PDF
Enzo Scannella
 
Vol 8, No 5 (2016) Bank Transparency and Risk Taking: Empirical Evidence from Tunisia Abstract   PDF
Raoudha Dhouibi, Abir Mabrouk, Emna Rouetbi
 
Vol 2, No 5 (2010) Banking and Value Creation in Emerging Market Abstract   PDF
Kaies Samet
 
Vol 6, No 8 (2014) Banking Sector Development and Corporate Leverage: Empirical Evidence from South African Firms Abstract   PDF
Oyebola Fatima Etudaiye-Muhtar, Rubi Ahmad
 
Vol 3, No 5 (2011) Banking Sector Liquidity and Financial Crisis in Nigeria Abstract   PDF
Samuel O. Fadare
 
Vol 6, No 3 (2014) Bankruptcy Prediction Model: The Case of the United States Abstract   PDF
Xavier Brédart
 
Vol 4, No 5 (2012) Bankruptcy Prediction Using Memetic Algorithm with Fuzzy Approach: Empirical Evidence from Iran Abstract   PDF
Gholamreza Karami, Seyed Mostafa Seyed Hosseini, Navid Attaran, Seyed Mojtaba Seyed Hosseini
 
Vol 7, No 8 (2015) Bankruptcy Prediction Using Support Vector Machines and Feature Selection During the Recent Financial Crisis Abstract   PDF
Umberto Dellepiane, Michele Di Marcantonio, Enrico Laghi, Stefania Renzi
 
Vol 7, No 9 (2015) Banks Performance Determinants: Comparative Analysis between Conventional and Islamic Banks from GCC Countries Abstract   PDF
Manel Hadriche
 
Vol 4, No 11 (2012) Based on ECM Modelling for Daily Turnover and Close Index of Chinese Stock Markets Abstract   PDF
Xiaohua Hu, Min Yu
 
Vol 3, No 5 (2011) Behavioral Finance: The Explanation of Investors’ Personality and Perceptual Biases Effects on Financial Decisions Abstract   PDF
Rasoul Sadi, Hassan Ghalibaf Asl, Mohammad Reza Rostami, Aryan Gholipour, Fattaneh Gholipour
 
Vol 5, No 3 (2013) Behaviour of Bank Share Prices and Their Impact on National Stock Market Indices: Comparing Countries at Different Levels of Economic Development during Recessionary and Non-Recessionary Periods Abstract   PDF
Lilian W. Komo, Isaac K. Ngugi
 
Vol 2, No 5 (2010) Behaviour towards Risk in Structured Portfolio Management Abstract   PDF
Hachmi Ben Ameur, Jean Luc Prigent
 
Vol 6, No 9 (2014) Benchmark for REIT Performance in Malaysia Using Hedonic Regression Model Abstract   PDF
Olusegun Olaopin Olanrele, Rosli Said, Mohd Nasir Daud
 
Vol 7, No 7 (2015) Beta Estimation and Thin Trading: Evidence from Bahrain Bourse Abstract   PDF
Jasim Al-Ajmi
 
Vol 8, No 5 (2016) Bidder’s Gain in Public M&A Transactions: Does Size Matter? Abstract   PDF
Kenneth Högholm
 
Vol 6, No 8 (2014) Big Data and the Dot Com Bubble Abstract   PDF
James Cicon
 
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