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American Journal of Finance and Accounting

2008 - 2016

From Inderscience Enterprises Ltd
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Volume 4, issue 3/4, 2016

Does US stock market react differently to rating announcements during crisis period? The case of the 2008 worldwide financial crisis pp. 193-214 Downloads
Abdelkader Boudriga and Dorsaf Azouz Ghachem
Sudden changes in crude oil price volatility: an application of extreme value volatility estimator pp. 215-234 Downloads
Dilip Kumar
Litigation risk, auditor tenure, and auditor specialisation and their effect on reporting quality pp. 235-260 Downloads
Essam Elshafie
Industry-specific and regional economic determinants of US commercial banking profitability pp. 261-283 Downloads
Amit Ghosh
Industry herding behaviour in Indian stock market pp. 284-308 Downloads
R. Ganesh, G. Naresh and S. Thiyagarajan
Changes in lease financing practice during lease accounting standard overhaul (2005-2014) pp. 309-326 Downloads
Xiaofei Song

Volume 4, issue 2, 2015

Analyst forecast performance on banks: does experience matter? pp. 93-112 Downloads
Lijing Du and Jian Huang
Speculative bubbles and the real estate market application of the sequential ADF test pp. 113-128 Downloads
Kamel Naoui and Amine Bassem
Comprehensive sector-level models for stock fluctuations pp. 129-150 Downloads
Şerife Özlen
Optimal hedging strategy with futures oil markets via FIEGARCH copula model pp. 151-171 Downloads
Dhoifli Ifa and Ahmed Ghorbel
Dividend multifactor process, long-run risk and payout ratios pp. 172-191 Downloads
Claude Bergeron, Jean-Pierre Gueyie and Komlan Sedzro

Volume 4, issue 1, 2015

Expected utility and portfolio selection: an econometric study of Pakistan's commercial banking sector pp. 1-18 Downloads
Zahid Muhammad
The relationship between dividend- and non-dividend-paying stock prices when considering financial distress pp. 19-27 Downloads
Reza Rahgozar
Return and volatility spillover among the PIIGS economies and India pp. 28-49 Downloads
Dilip Kumar and Srinivasan Maheswaran
Volume-herding interaction in the American market pp. 50-69 Downloads
Ahmed BenSaïda, Mouna Jlassi and Houda Litimi
Herding behaviour and market dynamic volatility: evidence from the US stock markets pp. 70-91 Downloads
Mouna Jlassi and Kamel Naoui

Volume 3, issue 2/3/4, 2014

Capital structure choice: a case study on New Zealand's unlisted firms pp. 93-108 Downloads
Nirosha Hewa Wellalage and Stuart Locke
Institutional ownership, liquidity and firm performance pp. 109-127 Downloads
Khemaies Bougatef and Sahbi Missaoui
The effect of governance mechanisms on the quality of risk disclosure: using bootstrap techniques pp. 128-151 Downloads
Gehan A. Mousa and Elsayed A.H. Elamir
The Halloween effect: an alternative approach and new evidence from the US market pp. 152-171 Downloads
Athanasios Tsagkanos and Paris Zachouris
Spillover effects between US and major European stock markets pp. 172-184 Downloads
Hussein Ali Al-Zeaud
Stock market development, banks and firms growth: empirical evidence from Saudi Arabia pp. 185-216 Downloads
Najeb Masoud and Glenn Hardaker
Are major global stock markets efficient? An application of the martingale difference hypothesis with wild bootstrap pp. 217-233 Downloads
Dilip Kumar and Srinivasan Maheswaran

Volume 3, issue 1, 2013

Comparative performance of Islamic and conventional banks in Europe pp. 1-23 Downloads
Ahmad M. Abu-Alkheil, Hans-Peter Burghof and Walayet A. Khan
Oil price volatility and the dynamic systematic risk in Kuwait's equity sector portfolio using the Kalman filter approach pp. 24-40 Downloads
Abdulwahab A. Alsarhan, Ahmed A.A. Khalifa and Omar Al-Titi
Initial public offerings and investor heterogeneity: evidence from Malaysia pp. 41-56 Downloads
Soo-Wah Low and Othman Yong
Risk premiums over varying market conditions pp. 57-76 Downloads
Praveen K. Das
ERP system integrated accounting course: an analysis of students' viewpoints pp. 77-92 Downloads
Yunus Kishali, Hari Sharma and Rakesh Gupta

Volume 2, issue 4, 2012

Bridging the environmental accounting gap between the accounting and economics disciplines pp. 297-310 Downloads
Rosmini Ismail, Vicky Forgie and Khalizul Khalid
Challenges and trends of debt capital raising by SME: experience of the Baltic States pp. 311-325 Downloads
Elvīra Zelgalve and Inna Romānova;
Macroeconomic factors and conditional bond volatility: evidence from emerging and developed bond markets pp. 326-345 Downloads
Karthika S. Nair and M. Thenmozhi
Causal effect of volume on stock returns and conditional volatility in developed and emerging market pp. 346-362 Downloads
Manish Kumar and M. Thenmozhi
Oil price and stock market index in exporting and importing countries: evidence from MENA pp. 363-379 Downloads
Hussein Mohammad Salameh, Bashar Al-Zu'bi;, Khaled Abdelal Al-Zubi and Ihab Khaled Magableh

Volume 2, issue 3, 2011

The value relevance of discretionary loan loss disclosures for Saudi banks pp. 209-218 Downloads
Haider H. Madani
Wealth effects and financial performance of cross-border mergers and acquisitions in five East Asian countries pp. 219-240 Downloads
Saw-Imm Song, Dorothy Chiok Choo Kueh, Rashidah Abdul Rahman and Ei Yet Chu
An empirical investigation of the link between market share and valuation of earnings and growth opportunities pp. 241-261 Downloads
Steven Swirsky and Mazhar M. Islam
The economic impact of mergers and acquisitions in Greece: lessons from a comparative analysis regarding western economies pp. 262-295 Downloads
Ioannis A. Tampakoudis, Demetres N. Subeniotis and Iordanis M. Eleftheriadis

Volume 2, issue 2, 2010

An analysis of audit fee premiums of the merged audit firm in Malaysia pp. 95-118 Downloads
Mohd-Mohid Rahmat, Takiah Mohd Iskandar and Mohammad Noor Hisham Osman
Are exchange-traded funds effective instruments to invest in Islamic markets? Early evidence from Dow Jones DJIM Turkey ETF pp. 119-142 Downloads
Onur Gozbasi and Ekrem Erdem
Evaluating company's performance using multiple discriminant analysis: the case of Shariah compliance companies pp. 143-154 Downloads
Nuradli Ridzwan Shah Mohd Dali, Hamdi Hakeim Mudasir and Suhaila Abdul Hamid
Searching for seasonal patterns in exchange traded funds' trading characteristics pp. 155-180 Downloads
Gerasimos G. Rompotis
Bank efficiency, profitability and equity capital: evidence from developing countries pp. 181-195 Downloads
Sok-Gee Chan and Mohd Karim
Cash-out vs. cash-in refinancings: their dynamic relationships with stock market and real estate factors pp. 196-207 Downloads
Ling T. He and K. Michael Casey

Volume 2, issue 1, 2010

Corporate governance and foreign direct investment inflows: cross-sectional international evidence pp. 1-15 Downloads
Omar Al Farooque and Subba Reddy Yarram
Intellectual capital and the creation of value in Latvian banking sector: panel data analysis pp. 16-32 Downloads
Nellija Titova
The impact of exchange rate misalignment on portfolio inflows in Malaysia pp. 33-52 Downloads
Noor Zahirah Mohd Sidek and Mohammed B. Yusoff
Evidence on the volatility of Indian and Japanese stock markets pp. 53-64 Downloads
Tarika Singh, Seema Mehta and Deepali Gupta
The relation between performance-based budgeting and activity-based budgeting pp. 65-74 Downloads
Hamidrez Vakilifard, Mehdi Zeynali and Rahmatollah Mohammadipour
The effects of ownership structure on asset restructuring performance pp. 75-93 Downloads
Norazlan Alias, Fauzias Mat Nor and Mohd Hasimi Yaacob

Volume 1, issue 4, 2009

Constructing an alternative dollar index to gauge the movements in currency markets pp. 345-362 Downloads
Musa Essayyad, Khaled Albinali, Omar Al-Titi and Mary Jane Sauceda
Procurement strategy role in the performance of public limited and private limited companies pp. 363-375 Downloads
Haim Hilman Abdullah and Zainal Abidin Mohamed
How bad is bad news? Assessing the effects of environmental incidents on firm value pp. 376-392 Downloads
Tommy Lundgren and Rickard Olsson
The price discovery process in credit derivative market: evidence from sovereign CDS market pp. 393-407 Downloads
Nan Li
Effects of Basel II standards on small-medium size enterprises: evidence from the Istanbul Stock Exchange pp. 408-431 Downloads
Mustafa Yılmaz and Ali Kucukcolak

Volume 1, issue 3, 2009

The impact of off-balance sheet items on banks' total factor productivity: empirical evidence from the Chinese banking sector pp. 213-238 Downloads
Fadzlan Sufian
Multiple objectives in portfolio construction pp. 239-255 Downloads
Panagiotis Xidonas, George Mavrotas, Dimitrios Askounis and John Psarras
Technical efficiency and its determinants in the Indian domestic banking industry: an application of DEA and Tobit analysis pp. 256-296 Downloads
Sunil Kumar and Rachita Gulati
Demand for international reserves: evidence from East Asia pp. 297-311 Downloads
Eliza Nor, M. Azali and Siong Hook Law
The effect of the prolonged bull market on the market response to large and small stock distributions pp. 312-333 Downloads
Dean Crawford, Diana R. Franz and Gerald J. Lobo
Effects of political crises on cointegration between ASEAN-5 stock markets and the US stock market pp. 334-343 Downloads
Reza Tajaddini, Zamri Ahmad and Tajul Ariffin Masron

Volume 1, issue 2, 2008

Effect of institutional factors on stock market development in Asia pp. 103-120 Downloads
Azmat Gani and Christopher Ngassam
Measurement of financial leverage in the presence of environmental liabilities relating to Superfund sites pp. 121-138 Downloads
Benjamin B. Bae and Mahdy F. Elhusseiny
Valuation models and their efficacy in predicting stock prices pp. 139-151 Downloads
Reza Rahgozar
An examination of technical, pure technical and scale efficiencies in GCC banking pp. 152-166 Downloads
Saeed Al-Muharrami
The predictive ability of accounting operating cash flows: a moving window spectral analysis pp. 167-193 Downloads
Dennis Ridley, Willie Gist, Dennis Duke and James C. Flagg
Wealth effects of Canadian financial services takeovers: consolidation, diversification and foreign evidence pp. 194-212 Downloads
Alex Ng

Volume 1, issue 1, 2008

Do retail options traders know better about market volatility? pp. 1-19 Downloads
Cheny Chen, Ming-Hua Liu and Hoa Nguyen
A new online method for event detection and tracking: empirical evidence from the French stock market pp. 20-51 Downloads
Mohamed Saidane and Christian Lavergne
The global and regional factors in the volatility of emerging sovereign bond markets pp. 52-68 Downloads
Thanh Huong Dinh and Duc Khuong Nguyen
The effect of taxes on small banks' loan loss provisions pp. 69-86 Downloads
B. Anthony Billings and Buagu Musazi
The effects of local and global risk factors on the S&P 500 stock returns: an empirical investigation pp. 87-101 Downloads
Mahdy F. Elhusseiny and Mazhar M. Islam
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