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Journal of Applied Research in Finance Bi-Annually

2009 - 2012

From ASERS Publishing
Series data maintained by Mădălina Constantinescu ().

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Volume IV, issue 2, 2012

Analysis of the Risks in the Enterprise Activity pp. 69-74 Downloads
Mihaela Cocosila
Modelling Correlated Liquidity and Solvency on a Balancing Equation in Indian Consumer Industry pp. 75-97 Downloads
Sandeep Goel
The Impact of Market Power on Bank Risk Taking in Albania pp. 98-109 Downloads
Suela Kristo and Arsena Gjipali
Foreign Direct Investment in India pp. 110-121 Downloads
Rajesh K. Pillania

Volume IV, issue 1, 2012

Apply the Analysis of the Flows at the Enterprise Strategy pp. 9-15 Downloads
Mihaela Cocoªilã
Investment Cash Flow Sensitivity under Behavioural Corporate Finance: A Literature Review via the Classification Scheme pp. 16-33 Downloads
Ezzeddine Ben Mohamed and Abdelfatteh Bour
Have Credit Rating Agencies Become More Stringent towards Japanese Regional Banks? pp. 34-42 Downloads
Kazumine Kondo
Forecasting Exchange Rate in Iranian Economy, a New Approach pp. 43-45 Downloads
Majid Maddah, Fahimeh Eslami Kalantari and Reza Hamedi
Indian Foreign Trade in Post Liberalisation Era pp. 46-55 Downloads
Rajesh K Pillania
Algorithm for Construction of Portfolio of Stocks using Treynor's Ratio pp. 56-62 Downloads
Pankaj Sinha and Lavleen Goyal

Volume III, issue 2, 2011

AN EMPIRICAL STUDY OF DIVIDEND POLICY MODELS IN INDIAN CONTEXT WITH SPECIAL REFERENCE TO ENGINEERING INDUSTRY pp. 136-146 Downloads
Deepika Aggarwal and Jasmeet Singh Pasricha
EQUITY HOME BIAS PUZZLE BETWEEN MACRO-FINANCE INTERFACE AND RISK-FACTORS INTERFERENCE pp. 147-161 Downloads
Mongi Arfaoui and Ezzeddine Abaoub
DYNAMIC RELATIONSHIP BETWEEN EXCHANGE RATES AND STOCK PRICES: EMPIRICAL EVIDENCE FROM INDIA pp. 162-169 Downloads
Krishna Chittedi
AN APPROACH OF COMBINING EMPIRICAL MODE DECOMPOSITION AND NEURAL NETWORK LEARNING FOR CURRENCY CRISIS FORECASTING pp. 170-184 Downloads
Mustapha Djennas, Mohamed Benbouziane and Meriem Djennas
INTERNATIONAL DIVERSIFICATION AND STOCK MARKETS VOLATILITIES pp. 185-203 Downloads
Achraf Ghorbel and Younes Boujelbene
OIL PRICE SHOCKS AND FINANCIAL STOCK MARKETS pp. 204-229 Downloads
Achraf Ghorbel, Mouna BOUJELBENE Abbes and Younes Boujelbene
THE ANNUAL FINANCIAL STATEMENTS – SOURCE OF INFORMATION FOR DETERMINING COMPANY PERFORMANCE pp. 230-235 Downloads
Teodor Hada
IMPACT OF CRUDE OIL PRICE VOLATILITY ON WORLD EQUITY MARKETS BEHARVIUR pp. 236-248 Downloads
Rakesh Kumar and Mohammad Tamimi
STAKEHOLDER APPROACH STAKEHOLDERS MENTAL MODEL A VISUALIZATION TEST WITH COGNITIVE MAPPING TECHNIQUE pp. 249-269 Downloads
Nassreddine Garoui and Jarboui Anis
CORRELATION AND VOLATILITY TRANSMISSION ACROSS INTERNATIONAL STOCK MARKETS: A BIVARIATE GARCH ANALYSIS pp. 270-278 Downloads
P. Sakthivel and B. Kamaiah
TWO NEW MEASURES OF HOUSEHOLD-LEVEL INVESTMENT RISK pp. 279-289 Downloads
Laurence G. Taff
INVENTORY INVESTMENT VOLATILITY AND TRADE CREDIT pp. 290-300 Downloads
Xiaolou Yang

Volume III, issue 1, 2011

ASSET PRICING WITH INCOMPLETE INFORMATION IN A DISCRETE-TIME PURE EXCHANGE ECONOMY pp. 9-26 Downloads
Prasad V. Bidarkota and Brice V. Dupoyet
EFFECTS OF FDI IN THE EUROPEAN TRANSITION ECONOMIES pp. 27-37 Downloads
Júlia Ïurèová and Rajmund Mirdala
FINANCIAL DECISIONS BASED ON DIAGNOSTIC ANALYSIS pp. 38-49 Downloads
Teodor Hada and Dana Halga
FISCAL SUSTAINABILITY, PUBLIC DEBT, AND ECONOMIC GROWTH: THE CASE OF INDONESIA pp. 50-61 Downloads
Haryo Kuncoro
HEDGE RATIO AND HEDGING EFFICIENCY: EVIDENCE FROM INDIAN DERIVATIVE MARKET pp. 62-75 Downloads
Tripathy Naliniprava
THE MACROECONOMIC VARIABLES AND STOCK RETURNS IN PAKISTAN: THE CASE OF KSE100 INDEX pp. 76-84 Downloads
Nadeem Sohail and Hussain Zakir
DO BIDDERS GAIN FROM TAKEOVERS? pp. 85-97 Downloads
Amporn Soongswang
THE ROBUSTNESS OF OKUN'S LAW: A TIME SERIES VALIDATION IN THE CONTEXT OF PAKISTAN (1975-2009) pp. 98-116 Downloads
Khalid Zaman, Muhammad Mushtaq Khan and Mehboob Ahmad
AMBIGUITY, ANALYST FORECAST INCENTIVES AND ABNORMAL STOCK RETURNS pp. 117-129 Downloads
Xiaolou Yang

Volume II, issue 2, 2010

IMPACT OF BANK ASSET AND LIABILITY MANAGEMENT ON PROFITABILITY: EMPIRICAL INVESTIGATION pp. 101-109 Downloads
Faris Nasif AL- Shubiri
FEED-BACK TRADING BEHAVIOR OF FOREIGN INSTITUTIONAL INVESTORS AND LOCAL MUTUAL FUNDS IN INDIAN STOCK MARKET: AN EMPIRICAL EVIDENCE pp. 110-120 Downloads
Ajay Kumar Chauhan and Ashish Garg
FORECASTING PUBLIC ADMINISTRATION WAGE DYNAMICS. AN APPLICATION TO THE ITALIAN NATIONAL HEALTH SERVICE pp. 121-130 Downloads
Luca Correani and Fabio DI Dio
BUBBLES AND CRASHES IN FINANCE: A PHASE TRANSITION FROM RANDOM TO DETERMINISTIC BEHAVIOUR IN PRICES pp. 131-137 Downloads
John Fry
STOCK MARKET INTEGRATION IN THE EMERGING MARKETS: SOME EMPIRICAL EVIDENCE pp. 138-148 Downloads
Kadir Karagoz, Ebrahim Rezaei and Ilhan Ege
THE INTERPRETATION OF UNIT VALUE INDICES UNIT VALUE INDICES AS PROXIES FOR PRICE INDICES pp. 149-166 Downloads
Peter von der Lippe
WHEN THE US SNEEZES ROMANIA IS VERY ILL. ECONOMIC CRISIS IN ROMANIA pp. 167-180 Downloads
Viorel Matei and Laura Ungureanu
DISINTERMEDIATION IN INDIAN COMMERCIAL BANKS: EVIDENCES FROM PRE AND POST-LIBERALIZATION PHASES pp. 181-191 Downloads
Ambika Pati and Dipanker Shome
THE EUROPEAN ENERGY MARKET: BETWEEN CONSTRAINTS AND PUBLIC SERVICE pp. 192-199 Downloads
Loredana VÃCÃRESCU Hobeanu

Volume II, issue 1, 2010

IMPACT OF FOREIGN CAPITAL ON ECONOMIC GROWTH IN INDIA: 1992 – 2009 pp. 9-15 Downloads
Anand Bansal and J.S. Pasricha
INSURANCE REGULATION AND THE CREDIT CRISIS. WHAT'S NEW? pp. 16-26 Downloads
Gustavo Ferro
MODELLING AND FORECASTING VOLATILITY OF EAST ASIAN NEWLY INDUSTRIALIZED COUNTRIES AND JAPAN STOCK MARKETS WITH NON-LINEAR MODELS pp. 27-43 Downloads
Francesco Guidi
THE EFFECTS OF REAL EXCHANGE RATE ON TRADE BALANCE IN COTE D'IVOIRE: EVIDENCE FROM THE COINTEGRATION ANALYSIS AND ERROR-CORRECTION MODELS pp. 44-60 Downloads
Drama Bedi Guy Herve, Yao Shen and Amzath Amed
MODELLING OF STOCK RETURN VOLATILITY pp. 61-67 Downloads
Taisei Kaizoji
DOES THE SUBPRIME CRISIS AFFECT CREDIT DEFAULT SWAP MARKETS? pp. 68-73 Downloads
Nader Naifar
DID MARKET REFORM MAKE RISK EVALUATION ON JAPANESE FIRMS EASIER?: AN EVIDENCE FROM CREDIT RATINGS pp. 74-83 Downloads
Nobuyoshi Yamori and Yoshihiro Asai
THE EFFECT OF ANNUAL EARNINGS ANNOUNCEMENT DELAY ON STOCK RETURNS pp. 84-90 Downloads
Xiaolou Yang

Volume I, issue 2, 2009

Global FDI flows under the pressure of financial crisis pp. 105-112 Downloads
Vasilescu Laura Giurca and Ana Popa
MACRO-PRUDENTIAL MONITORING INDICATORS FOR CEMAC BANKING SYSTEM pp. 113-128 Downloads
Severin Yves Kamgna, Nzesseu Jules Tinang and Kinfak Christian Tsombou
PREDICTING CONOCOPHILLIPS AND EXXON MOBIL STOCK PRICE pp. 129-134 Downloads
Ivan Kitov
EXCHANGE RATE AND INTEREST RATE IN THAILAND: A LOOK AT TRADITIONAL AND REVISIONIST VIEWS pp. 135-140 Downloads
Mansor Ibrahim
EFFECTS OF FISCAL POLICY SHOCKS IN THE EUROPEAN TRANSITION ECONOMIES pp. 141-157 Downloads
Rajmund Mirdala
EXCHANGE RATE CHANGES AND PRICE DYNAMICS IN THE TRIAD COUNTRIES pp. 158-168 Downloads
Piotr Misztal
CAPM WITH INFORMATION COST pp. 169-186 Downloads
Hachicha Nizar
CHARACTERISTICS OF JAPAN'S COMMODITIES INDEX AND ITS CORRELATION WITH STOCK INDEX pp. 187-192 Downloads
Nobuyoshi Yamori
INFORMATION AVAILABILITY AND COMPETENCE EFFECTS IN COMMODITY INVESTING pp. 193-205 Downloads
Christof Sigl-Grüb and Dirk Schiereck
OUTPUT GAP MEASURES FOR PAKISTAN: METHODOLIGIES AND CHALLENGES FOR THE MONETARY POLICY pp. 206-227 Downloads
Sarfaraz Syed and Ali Shah
modelling Inflation Dynamics. a practicl approach pp. 228-236 Downloads
Laura Ungureanu and Viorel Matei
DAY OF THE WEEK EFFECTS ON THE MAURITIAN DEVELOPMENT ENTERPRISE MARKET (DEM) pp. 237-243 Downloads
Subadar Agathee Ushad
Are stock exchanges integrated in the world? – A critical analysis pp. 243-257 Downloads
Vijay Kumar Varadi and Nagarjuna Boppana

Volume I, issue 1, 2009

FINANCIAL STABILITY, TRADE OPENNESS AND THE STRUCTURE OF BANKS' SHAREHOLDERS pp. 9-17 Downloads
Claudiu Albulescu
THE ANALYSIS OF THE PER EFFECT IN THE FINANCIAL MARKETS OF CEEC pp. 18-28 Downloads
Lucian Briciu, Daniel Goyeau and Sophie Nivoix
MACROECONOMIC CONDITIONS AND CREDIT SPREADS pp. 29-42 Downloads
Tarek Chebbi and Slaheddine Hellara
SUSTAINABLE TRENDS IN PRODUCER PRICE INDICES pp. 43-51 Downloads
Ivan Kitov and Oleg I. Kitov
SHOCKING ASPECTS OF MONETARY INTEGRATION (SVAR APPROACH) pp. 52-62 Downloads
Rajmund Mirdala
MODELLING MONETARY TRANSMISSION CHANNELS: THE CASE OF PHILIPPINES pp. 63-71 Downloads
Wai-Ching Poon
CASE STUDY REGARDING THE CO-INTEGRATION OF THE FINANCIAL DERIVATES WITH THEIR UNDERLYING ASSETS pp. 72-80 Downloads
Laura Stefanescu
VALUE-AT-RISK VERSUS NON VALUE-AT-RISK TRADERS pp. 81-92 Downloads
Matjaz Steinbacher
Page updated 2017-04-28