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International Journal of Monetary Economics and Finance
2007 - 2011
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Volume 4, issue 4 , 2011
New Keynesian aggregate supply in the tropics: food prices, wages and inflation pp. 330-354
Ashima Goyal and Shruti Tripathi
Impact of exchange rate and money supply on growth, inflation and interest rates in the UK pp. 355-371
Keshab R Bhattarai
US and European stock market crashes: Any evidence of interdependence? pp. 372-389
Rajeev Sooreea and Mark Wheeler
Causes of financial distress of Portuguese municipalities: empirical evidence pp. 390-409
Flora Cunha Lobo , Pedro Ramos and Oscar Lourenco
Dynamics of investor's behaviour: a survey-based study on Indian securities market pp. 410-431
Saurabh Agarwal
Exchange rate and exporting behaviour of Indian Textiles and Clothing sector across major destination countries pp. 432-446
P.L. Beena and Hrushikesh Mallick
Volume 4, issue 3 , 2011
Equity-based compensation and performance of acquisitions pp. 217-237
Nont Dhiensiri , Olgun Fuat Sahin and Pattarake Sarajoti
Equilibrium real exchange rate in Fiji: an empirical study pp. 238-253
TIRU K. Jayaraman and Chee-Keong Choong
GARCH-class models estimations and value-at-risk analysis for exchange rate pp. 254-278
Samir Mabrouk and Chaker Aloui
A simple way to overcome the zero lower bound of interest rates for central banks: Evidence from the Fed and the ECB within the financial crisis pp. 279-296
Jens Klose
Revising the structure of the Euro index to improve measurement of movements in the currency markets pp. 297-308
Musa Essayyad , Khaled Albinali and Omar Al-Titi
An approximate entropy approach to examine the non-linear dependence in daily Indian exchange rates pp. 309-325
Manish Kumar
Volume 4, issue 2 , 2011
Unconventional monetary policy in practice: a comparison of 'Quantitative Easing' in Japan and the USA pp. 111-134
Matthias Reith
International financial contagion of the US sub-prime crisis: evidence through the adjusted correlation test and non-linear Error Correction Models (ECM) pp. 135-149
Anis Omri and Sonia Ghorbel-Zouari
Short selling and equity returns with full information dissemination pp. 150-171
Panayotis Alexakis
Regime switching, asymmetric correlation and international portfolio choices pp. 172-194
Fathi Abid and Slah Bahloul
Capital market development in an emerging economy and the challenge of fostering foreign participation pp. 195-215
Samson E. Edo
Volume 4, issue 1 , 2011
Subprime crisis and volatility spillover pp. 1-20
Mouna Abdelhedi-Zouch , Mouna Boujelbene Abbes and Younes Boujelbene
Monetary policy and the disinflation on the way to the euro in Slovenia pp. 21-48
Damjan Kozamernik and Tina Zumer
The role of timing at Mergers and Acquisitions in the banking industry pp. 49-76
Luisa Mueller and Dirk Schiereck
Stock splits, stock dividends and abnormal trading volume: evidence from Tunisia stock exchange pp. 77-94
Wissem Daadaa and Mohamed Tahar Rajhi
An empirical test of Purchasing Power Parity in the post-Bretton Woods era: a panel data approach pp. 95-109
Ritesh Kumar Mishra and Chandan Sharma
Volume 3, issue 4 , 2010
Bank supervision and bank profitability: the case of MENA countries pp. 316-329
Faouzi ABDENNOUR and Karim Ben Khediri
GCC stock markets: How risky are they? pp. 330-337
Ibrahim A. Onour and Bruno S. Sergi
How markets react to earnings announcements in the absence of analysts and institutions: evidence from the Saudi market pp. 338-358
Ahmed Alzahrani and Len Skerratt
Does the entry of foreign investors influence the volatility of Doha Securities Market? pp. 359-373
Abdelgader M.A. Abdullah and Hassan B.A. Ghassan
The indexing paradox: be thankful for irrational analysts pp. 374-393
David Eagle , Arsen M. Djatej , Robert H.S. Sarikas and David Senteney
Volume 3, issue 3 , 2010
Liquidity and corporate yield spreads: lessons from Tunisian bond market pp. 207-226
Tarek Chebbi and Slaheddine Hellara
Detecting and estimating stock market crises: evidence from the Tunisian stock market pp. 227-247
Younes Boujelbene , Haifa Hammami and Aida Kammoun Abdelmoula
UCM: A measure of core inflation pp. 248-269
Sujata Kar
A test of Ricardian Equivalence and public debt neutrality pp. 270-279
Amaresh Das
New evidence on banking efficiency in Europe pp. 280-299
Simeon Papadopoulos
Slicing the toxic pizza, an analysis of FDIC's Legacy Loans Program for receivership assets pp. 300-309
Linus Wilson
Volume 3, issue 2 , 2010
North Africa stock markets: analysis of long memory and persistence of shocks pp. 101-111
Ibrahim A. Onour
The fear of exclusion and public support for a multilateral monetary union pp. 112-125
Steven Buigut
Investigating the financial and socio-economic determinants of student learning at US charter and public schools: The Texas experience pp. 126-139
Steve Lovett , Mary Jane Sauceda and Musa Essayyad
Financial crisis and the efficiency of the Malaysian banking sector: foreign vs. domestic banks pp. 140-158
Fadzlan Sufian
Exchange rate determination: market models and empirical evidence for the 1990-2000 period from emerging financial markets -- the case of Indonesia pp. 159-176
M. Rusydi and Sardar M.N. Islam
Efficiency of Islamic banks in selected member countries of the Organisation of Islamic Conference pp. 177-205
Miranti Kartika Dewi , Maliah Sulaiman and Ilham Reza Ferdian
Volume 3, issue 1 , 2010
Decomposing fundamental and non-fundamental volatility in GCC stock markets pp. 1-12
Ibrahim A. Onour
Diversification, bank risk taking and performance: evidence from Tunisian banks pp. 13-32
Khadija Mnasri and Ezzeddine Abaoub
The interplay of monetary and fiscal policies in a multinational currency union pp. 33-49
Marcelo Sanchez
A modular approach to seigniorage in a monetary union pp. 50-68
Carsten Lange and Christine Sauer
Exchange-rate regimes and output volatility: empirical investigation with panel data pp. 69-99
Marjan Petreski
Volume 2, issue 3 , 2009
Zakat fund -- concept and perspective pp. 197-205
Moid U. Ahmad and Athar Mahmood
"Islamic bank of Britain" case study analysis pp. 206-220
Omar Masood , Jamel E. Chichti , Walid Mansour and Muzafar Iqbal
A review of SharENah compliant instruments for Islamic credit cards as adopted by Malaysian Financial Institutions pp. 221-238
Azman Mohd Noor and Rafidah Mohd Azli
Sensitivity of the Islamic and conventional banks to monetary policy changes: the case of Malaysia pp. 239-253
Salina H. Kassim and M. Shabri Abd. Majid
Islamic derivatives pp. 254-260
Andreas A. Jobst
Islamic banking: a study of customer satisfaction and preferences in non-Islamic countries pp. 261-285
Omar Masood , Bora Aktan and Qazi Awais Amin
2-Step Murabaha as an alternative resource mobilisation tool for Islamic banks in the context of international trade pp. 286-301
Ahmet Suayb Gundogdu
Contemporary practices of Islamic banks in Pakistan: a critical appraisal pp. 302-316
Burhan Ali Shah and Ghulam Shabbir Khan Niazi
The role of goods, money and securities markets in promoting family takaful in Malaysia pp. 317-335
Zuriah Abdul Rahman , Rosylin Mohd. Yusof and M. Shabri Abd. Majid
Development and future prospects of Islamic banking in Bangladesh pp. 336-347
Bora Aktan , Omar Masood and Muzafar Iqbal
Islamic securitisation: An ethical remedy to incentive problems? pp. 348-365
Andreas A. Jobst
Role of Islamic mortgage in UK pp. 366-383
Omar Masood , Jamel E. Chichti , Walid Mansour and Qazi Awais Amin
From the concept of haqq to the prohibitions of riba, gharar and maysir in Islamic finance pp. 384-397
Valentino Cattelan
Performance of Shariah-Compliant Indices in London and NY Stock Markets and their potential for diversification pp. 398-408
Seng Kok , Gianluigi Giorgioni and Jason Laws
Determinants of Islamic bank profitability in the MENA region pp. 409-426
Karim Ben Khediri and Hichem Ben-Khedhiri
Volume 2, issue 2 , 2009
Analysis of the CZK/USD exchange rate: a comparison of four major models pp. 91-102
Yu Hsing and Bruno S. Sergi
Characterising the Brazilian term structure of interest rates pp. 103-114
Osmani Teixeira de Carvalho Guillén and Benjamin Miranda Tabak
Inference on forward exchange rate risk premium: reviewing signal extraction methods pp. 115-125
Ramaprasad Bhar and Carl Chiarella
The nature of the Phillips curve in Tunisia: new empirical evidence pp. 126-143
Thouraya Boujelbene Dammak and Younes Boujelbene
Price limits and stock returns volatility in Jordanian banks pp. 144-165
Samer Am Al-Rjoub and Sawsan Abutabenjeh
Current account dynamics and optimal monetary policy in a small-open economy pp. 166-193
Min Lu
Volume 2, issue 1 , 2009
The effect of environmental accounting on financial risk management of firms via insurance pp. 1-15
.E. Nikolaou and A.N. Yannacopoulos
Evidence against the Spanish stock market efficiency using the Nearest Neighbour method and a cluster forecasting technique pp. 16-25
Marcos Alvarez-Diaz
Determinants of Turkish fund managers' performance pp. 26-43
Omar Masood , Chris Stewart and Naif Sultan
Measuring the forecasting accuracy of models: evidence from industrialised countries pp. 44-57
Athanasios Koulakiotis and Apostolos Dasilas
Chaos and order in exchange rates pp. 58-70
Jesse Russell
Effect of futures trading on the stability of stock index returns: a case of BSE Sensex pp. 71-89
Sathya Swaroop Debasish