International Journal of Economics and Financial Issues
2011 - 2024
Current editor(s): Ilhan Ozturk From Econjournals Bibliographic data for series maintained by Ilhan Ozturk (). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 4, issue 4, 2014
- Does Currency Substitution Affect Exchange Rate Volatility? pp. 698-704

- Hisao Kumamoto and Masao Kumamoto
- Volatility Transmission and Spillovers among Gold, Bonds and Stocks: An Empirical Evidence from Turkey pp. 705-713

- Hatice Gaye Gencer and Zafer Musoglu
- Purchase and Redemption Decisions of Mutual Fund Investors of Variable Life Insurance-Using Quantile Regression pp. 714-725

- Nan-Yu Wang, Sen-Sung Chen, Chih-Jen Huang and Cheng-Hsin Yen
- London Metal Exchange: Causality Relationship between the Price Series of Non-Ferrous Metal Contracts pp. 726-734

- Mustafa Serdar Basoglu, Turhan Korkmaz and Emrah Çevik
- The Importance of Cultural and Gastronomic Tourism in Local Economic Development: Zile Sample pp. 735-744

- Mehmet Kocaman and Emel Memis Kocaman
- Exchange Regime Choice with Multinomial Panel Data: Case of the North Africa Countries pp. 745-757

- Esmak Hassan and Firano Zakaria
- Relocation and Inequalities between Skilled and Unskilled in Northern Countries: Simulation Using a CGE Model pp. 758-772

- Radouane Raouf and Hicham Hafid
- Labor Productivity, Demographic Traits and ICT A Demo-Tech Productivity Model for Asian Region pp. 773-783

- Bilal Mehmood, Parvez Azim, Syed Hassan Raza and Huma Sohaib
- The Impact of Misalignment on FDI in the Developing Countries pp. 784-800

- Abdessalem Gouider and Ridha Nouira
- Impact of Liquidity Level on the Monetary Policy Transmission Effectiveness of the Moroccan Central Bank (Bank Al Maghrib) pp. 801-818

- Nicolas Moumni and Benaissa Nahhal
- An Econometric Estimation and Prediction of the Effects of Nominal Devaluation on Real Devaluation: Does the Marshal-Lerner (M-L) Assumptions Fits in Nigeria? pp. 819-835

- Abdulrashid Rafindadi and Zarinah Yusof
- Value-at-Risk Analysis in the Presence of Asymmetry and Long Memory: The Case of Turkish Stock Market pp. 836-848

- Mesut Ballibey and Serpil T Rkyilmaz
- Some Empirical Evidence on the Stability of Money Demand in Kenya pp. 849-858

- Moses Kiptui
- Comparative Human Development and Gender Equality Performance Analysis of Middle Eastern and North African Countries with Turkey pp. 859-869

- Hakan Mihci and Mehmet Taner
- Individual Fund Manager Sentiment, Fund Performance and Performance Persistence pp. 870-885

- Ying-Fen Fu
- Are the Periods of Currency Collapse an Impediment to Entrepreneurship and Entrepreneurial Haven? Evidence from Regional Comparison pp. 886-908

- Abdulrashid Rafindadi and Zarinah Yusof
- Is Implied Taylor Rule Interest Rate Applicable as a Carry Trade Strategy? pp. 909-919

- Gokcen Ogruk
- Measuring Liquidity in an Emerging Market: The Tunis Stock Exchange pp. 920-929

- Emna Rouetbi and Chokri Mamoghli
- The Determinants of Capital Structure: An Empirical Investigation of Malaysian Listed Government Linked Companies pp. 930-945

- Siti Nur Aqilah Ab Wahab and Nur Ainna Ramli
- Regional Differences and Financial Ratios: A Comparative Approach on Companies of ISE City Indexes pp. 946-955

- Ali Deran, Omer Iskenderoglu and Incilay Erduru
- An Examination of Fisher Effect for Selected New EU Member States pp. 956-959

- Harun Uçak, Ilhan Ozturk and Alper Aslan
Volume 4, issue 3, 2014
- Investment Cash Flow Sensitivity and Effect of Managers' Ownership: Difference between Central Owned and Private Owned Companies in China pp. 449-456

- Yuanyao Ding and Xu Qian
- Co-movement of Foreign Direct and Portfolio Investments in Central and Eastern Europe pp. 457-464

- Yaman O. Erzurumlu and Giray Gözgör
- An Empirical Analysis of Allocative Efficiency of Nigerian CommercialBanks: A DEA Approach pp. 465-475

- Usman Owolabi Akeem and Moses Fadipe
- Corruption and Education: Empirical Evidence pp. 476-493

- Mohamed Dridi
- Long Run Tendencies and Short Run Adjustments Between Official and Black Market Exchange Rates in MENA Countries pp. 494-500

- Ferit Kula, Alper Aslan and Lhan Zt Rk
- Transboundary Pollution, R&D Spillovers, Absorptive Capacity and International Trade pp. 501-513

- Zeineb Dinar
- Modelling the Macroeconomic Determinants of Workers' Remittances: The Case of Jordan pp. 514-526

- Ghazi Al-Assaf and Abdullah M. Al-Malki
- Behavioral Finance: An Empirical Study of the Tunisian Stock Market pp. 527-538

- Mustapha Chaffai and Imed Medhioub
- Sberbank's Entrance into Turkish Banking Sector and Reasons of This Decision pp. 539-548

- Kemal Yaman
- Influence of Risk Management on Performance: An Empirical Study of International Islamic Bank pp. 549-563

- Girish Nair, Harsh Purohit and Nidhi Choudhary
- Analyzing the Sustainability of Current Account in ASEAN Countries: Test of Intertemporal Borrowing Constraints pp. 564-571

- Huseyin Kalyoncu and Muhittin Kaplan
- Directions of the State Effect on the Development of Communication Systems of the Agrarian Sector Enterprises pp. 572-579

- Alex Granate
- Clustering As the Mechanism of Enhancement of the Technological Competitive Ability of the Enterprise pp. 591-596

- Inna Milko
- Impact of Migrant Remittances on Economic Empowerment of Women: A Macroeconomic Investigation pp. 597-611

- Aomar Ibourk and Jabrane Amaghouss
- The Suitable Exchange Rate Regime for the Moroccan Economy pp. 612-621

- Omar Bakkou
- Moroccan Banks Analysis Using CAMEL Model pp. 622-627

- El Mehdi Ferrouhi
- Government Ownership and Firm Performance: The Case of Vietnam

- Ngo My Tran, Walter Nonneman and Ann Jorissen
- Board Structure and Firm Performance: Evidence from French Firms Listed in SBF 120

- Aymen Ammari, Mohamed Kadria and Abderrazak Ellouze
Volume 4, issue 2, 2014
- Corruption and Foreign Direct Investment in East Asia and South Asia: An Econometric Study pp. 231-242

- Rahim M. Quazi
- Exports and Firm Productivity in Turkish Manufacturing: An Olley-Pakes Estimation pp. 243-257

- M. Akif Arvas and Burak Uyar
- Impact of Financial Development on Exchange Rate Volatility and Long-Run Growth Relationship of Bangladesh pp. 258-263

- Humyra Jabeen Bristy
- Equity Returns, Firm-Specific Characteristics and Sector Rotation: Evidence from Turkey pp. 264-276

- Selahattin Guris and Aynur Pala
- Monetary Integration and Optimum Currency Area in ASEAN+3: What We Need for a New Framework? pp. 277-285

- Reza Moosavi Mohseni and M Azali
- Optimal Size of Government in Turkey pp. 286-294

- Taner Turan
- The Determinant of Commercial Banks' Interest Margin in Indonesia: An Analysis of Fixed Effect Panel Regression pp. 295-308

- Pamuji Gesang Raharjo, Dedi Hakim, Adler Hayman Manurung and Tubagus N.A. Maulana
- Money, Inflation and Growth Relationship: The Turkish Case pp. 309-322

- Cuma Bozkurt
- Have Exchange Traded Funds Influenced Commodity Market Volatility? pp. 323-335

- Shaen Corbet and Cian Twomey
- Development of European Union and China Bilateral Trade After The 2008 Financial Crisis: A Cluster Analysis pp. 336-343

- Serkan Tastan and Halil Ozekicioglu
- Ageing, Longevity and Savings: The Case of Morocco pp. 344-352

- Ghizlan Loumrhari
- Can Bank be a Cause of Contagion during the Global Financial Crisis? pp. 353-362

- Nadhem Selm and Nejib Hachicha
- Democracy: A Determinant Factor in Reducing Inflation pp. 363-375

- Mohamed Fenira
- Worker's Remittances and GDP Growth in Pakistan pp. 376-381

- Rashid Hussain and Ghulam Abbas Anjum
- Dividend-Yield Trading Strategies: Evidence from the Chinese Stock Market pp. 382-399

- Chin-Sheng Huang, Chun-Fan You and Hueh-Chen Lin
- Long Memory Behavior in the Returns of Pakistan Stock Market: ARFIMA-FIGARCH Models pp. 400-410

- Serpil Turkyilmaz and Mesut Balibey
- Quantifying the Effects of the Inclusion and Segregation of Contracts for Difference in Australian Equity Markets pp. 411-426

- Shaen Corbet and Cian Twomey
- The Effects of the Marshall Plan Aids to the Development of the Agricultural Sector in Turkey, the 1948-1953 Period pp. 427-439

- Mehmet Halis Ozer
Volume 4, issue 1, 2014
- Testing Nonlinear Inflation Convergence for the Central African Economic and Monetary Community pp. 1-7

- Emmanuel Anoruo and Vasudeva N.R. Murthy
- Effects of Currency Unions on Foreign Direct Investment Inflows: The European Economic and Monetary Union Case pp. 8-15

- Cuneyt Kilic, Y lmaz Bayar and Feyza Arica
- Long Memory Analysis: An Empirical Investigation pp. 16-26

- Rafik Nazarian, Esmaeil Naderi, Nadiya G. Alikhani and Ashkan Amiri
- Pre-Consolidation and Post-Consolidation of Nigerian Banking Sector: A Dynamic Comparison pp. 27-34

- Anthonia T. Odeleye
- Unemployment Hysteresis in Turkey: Does Education Matter? pp. 35-39

- Ferit Kula and Alper Aslan
- Measuring Liquidity Risk in an Emerging Market: Liquidity Adjusted Value at Risk Approach for High Frequency Data pp. 40-53

- Rouetbi Emnal and Mamoghli Chokri
- Price Limit and Financial Contagion: Protection or Illusion? The Tunisian Stock Exchange Case pp. 54-70

- Halim Dabbou and Ahmed Silem
- Foreign Direct Investments: Asian and European Transition Economies pp. 71-82

- Suat Teker, Hayri Tuzla and Aynur Pala
- The Contagion Effects of Sovereign Downgrades: Evidence from the European Financial Crisis pp. 83-92

- Shaen Corbet
- State Dependence in Unemployment pp. 93-106

- Nisar Ahmad
- Hedging Strategy Using Copula and Nonparametric Methods: Evidence from China Securities Index Futures pp. 107-121

- Zhiyuan Pan and Xianchao Sun
- Exchange Rate Policy in Morocco and Persistence of Real Exchange Rate Misalignments pp. 122-134

- Mohamed Bouzahzah and Radouane Bachar
- The Relationship Between Economic Growth and Income Inequality pp. 135-143

- Nasfi Fkili Wahiba and Malek El Weriemmi
- Determinants of India's Manufactured Exports to South and North: A Gravity Model Analysis pp. 144-151

- Suresh K.G. and Neeraj Aswal
- SMEs Record Keeping in Ghana: Has VAT Made It Better? pp. 152-169

- Philip Adom, Kwaku Amakye, Edinam Doh and Regina Anku
- Conditional Correlations and Volatility Links Among Gold, Oil and Istanbul Stock Exchange Sector Returns pp. 170-182

- Hatice Gaye Gencer and Erdem Kilic
- Insider Ownership and the Value of the Bucharest Stock Exchange Listed Companies: Convergence-of-Interest or Entrenchment Effect? pp. 183-195

- Georgeta Vintila and Ştefan Gherghina
- Stock Prices and Implied Abnormal Earnings Growth pp. 196-216

- Hafiz Imtiaz Ahmad and Pascal Alphonse
- The European Financial Market Stress Index pp. 217-230

- Shaen Corbet
| |