Journal of Economics, Finance and Administrative Science
2017 - 2024
Current editor(s): Nestor U. Salcedo From Emerald Group Publishing Limited Bibliographic data for series maintained by Emerald Support (). Access Statistics for this journal.
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Volume 29, issue 58, 2024
- At what age do Mexicans suffer the most financial stress? pp. 210-228

- Osvaldo García Mata
- Evolution of trade and productive integration in Latin America, 1995–2015: an input-output analysis pp. 229-245

- Raúl Vázquez-López
- The mediating role of marketing management in the relationship between online presence and product innovation among SMEs pp. 246-262

- Allan Pérez-Orozco, Juan Carlos Leiva and Ronald Mora-Esquivel
- Financial technology and economic growth nexus in the East African community states pp. 263-276

- Chi Aloysius Ngong, Kesuh Jude Thaddeus and Josaphat Uchechukwu Joe Onwumere
- Stock splits and reverse splits in the Brazilian capital market pp. 277-293

- Daniel Werner Lima Souza de Almeida, Tabajara Pimenta Júnior, Luiz Gaio and Fabiano Guasti Lima
- Islamic banks' contribution to Indonesia districts' economic growth and poverty alleviation pp. 294-308

- Junaidi Junaidi
- Short-term effects of productive credit, savings and money demand on Ecuador’s economic growth, 2006–2020 pp. 309-325

- Armando Urdaneta Montiel, Emmanuel Vitorio Borgucci Garcia and Segundo Camino-Mogro
- Does capital efficiency influence economic growth in Bangladesh? Application of the Harrod-Domar model pp. 326-345

- Sakib Bin Amin, Bismi Iqbal Samia and Farhan Khan
- A comparative analysis of consumer credit risk models in Peer-to-Peer Lending pp. 346-365

- Lua Thi Trinh
- ESG and financial performance via uncertain mining technology: do Multilatinas contribute to the sustainability of the region? pp. 366-386

- Carlos Alexander Grajales and Katherine Albanés Uribe
- Understanding determinants of outward foreign direct investment: the role of economic policy uncertainty, institutional quality, and globalization pp. 387-409

- Fevzi Ölmez, Emre Bilgiç and Esra Aydın
Volume 29, issue 57, 2023
- Impact of competition and concentration on bank income smoothing in Central and Eastern European countries pp. 5-20

- Albulena Shala, Peterson Ozili and Skender Ahmeti
- Spillovers between cryptocurrencies, gold and stock markets: implication for hedging strategies and portfolio diversification under the COVID-19 pandemic pp. 21-41

- Ahlem Lamine, Ahmed Jeribi and Tarek Fakhfakh
- Do credit risks deter FDI? Empirical evidence from the SAARC countries pp. 42-56

- Md Badrul Alam, Muhammad Tahir and Norulazidah Omar Ali
- Impact of private and public initiatives on individuals' employment and income during the COVID-19 pandemic: evidence from Peru pp. 57-76

- Samuel Arturo Mongrut, Vivian Cruz and Daniela Pacussich
- The specific factors of heterogeneity characterizing investors' beliefs pp. 77-97

- Hajer Chenini and Anis Jarboui
- Foreign direct investment and local interpretable model-agnostic explanations: a rational framework for FDI decision making pp. 98-120

- Devesh Singh
- The relationship between goodwill and capital structure and the moderating effect of financial market development pp. 121-145

- Oli Ahad Thakur, Matemilola Bolaji Tunde, Bany-Ariffin Amin Noordin, Md. Kausar Alam and Muhammad Agung Prabowo
- Exploring the importance of the perceived value of port users: evidence from the public port system in Ecuador pp. 146-165

- José Antonio Pedraza-Rodríguez, Martha Yadira García-Briones and César Mora-Márquez
- The relationship between dividend policy and earnings management: a causality analysis pp. 166-185

- Olfa Ben Salah and Anis Jarboui
- The impact of relationship marketing practices on companies’ market and financial performance in emerging markets pp. 186-204

- Vera Rebiazina, Elena Sharko and Svetlana Berezka
Volume 28, issue 56, 2023
- Institutional ownership, earnings management and earnings surprises: evidence from 39 years of U.S. data pp. 218-236

- Justin G. Davis and Miguel García-Cestona
- Economic integration and stock market linkages: evidence from South Africa and BRIC pp. 237-256

- Thabo J. Gopane
- Corruption's effect on BRICS countries' economic growth: a panel data analysis pp. 257-272

- Beatrice Desiree Simo-Kengne and Siphiwo Bitterhout
- The effect of gender and code of ethics on budgetary slack ethical judgment: experimental evidence from Indonesia pp. 273-286

- Jurica Lucyanda and Mahfud Sholihin
- Ownership structure and agency costs: evidence from the insurance industry in Jordan pp. 287-302

- Mohammad Tayeh, Rafe’ Mustafa and Adel Bino
- A count model of financial inclusion in Ghana: evidence from living standards surveys pp. 303-318

- Haruna Issahaku, Munira Alhassan Muhammed and Benjamin Musah Abu
- The impact of omnichannel integrated marketing communications (IMC) on product and retail service satisfaction pp. 319-334

- Vera Butkouskaya, Olga Oyner and Sergey Kazakov
- Behavioural finance: the decoy effect on stock investment decisions pp. 335-351

- Bruno Uekane Okumura, Tabajara Pimenta Júnior, Márcia Mitie Durante Maemura, Luiz Gaio and Rafael Confetti Gatsios
- A recent review on optimisation methods applied to credit scoring models pp. 352-371

- Elias Shohei Kamimura, Anderson Rogério Faia Pinto and Marcelo Seido Nagano
- Estimation of the aggregate import demand function for Mexico: a cointegration analysis pp. 372-385

- José Antonio Romero Tellaeche and Rodrigo Aliphat
- Types of organizational culture and sustainability in ecotourism businesses in southern Mexico pp. 386-403

- Efraín Medina-Álvarez and Patricia S. Sánchez-Medina
- SMEs growth and profitability, productivity and debt relationships pp. 404-419

- Zélia Serrasqueiro, Beatriz Pinto and Filipe Sardo
Volume 28, issue 55, 2023
- The role of digitalization in the FDI – income inequality relationship in developed and developing countries pp. 6-26

- Nguyen Van Bon
- Impact of ICT diffusion and financial development on economic growth in developing countries pp. 27-43

- Anushka Verma, Prajakta Sandeep Dandgawhal and Arun Giri
- Market reaction to firms' investments in CSR projects pp. 44-59

- Victoria Cherkasova, Elena Fedorova and Igor Stepnov
- Sustainable marketing activities, event image, perceived value and tourists’ behavioral intentions in the sports tourism pp. 60-78

- Junfeng Wang and Vera Butkouskaya
- Consumers’ purchase intention of rapid COVID-19 tests pp. 79-95

- Klender Cortez, Martha del Pilar Rodríguez-García and Christian Reich
- Sensitivities-based method and expected shortfall for market risk under FRTB: its impact on options risk capital pp. 96-115

- Carlos Alexander Grajales and Santiago Medina Hurtado
- Prospect theory in the financial decision-making process: an empirical study of two Argentine universities pp. 116-133

- Rogelio Ladrón de Guevara Cortés, Leticia Eva Tolosa and María Paula Rojo
- Creation of shared value in cooperatives: informal institutions’ perspective of small-sized banana growers from Colombia pp. 134-159

- Marcela Maestre Matos, Jahir Lombana-Coy and Francisco J. Mesías
- Strategic perspective of error management, the role of leadership, and an error management culture: a mediation model pp. 160-175

- Margarida Freitas Oliveira, Eulália Santos and Vanessa Ratten
- Airports’ public infrastructure and sources of inefficiency pp. 176-196

- Ane Elixabete Ripoll-Zarraga
- Cultural communication differences in initial public offering documentation: the case of China pp. 197-210

- Anamari Irizarry Quintero, Javier Rodríguez Ramírez and Camille Villafañe-Rodríguez
Volume 27, issue 54, 2022
- Assessing the possibility of winning a WTO dispute before being involved pp. 202-218

- Nikolai Klishch and Alexander Larionov
- Analysing the linkage between total factor productivity and tourism growth in Latin American countries pp. 219-230

- Panayiotis Tzeremes
- Determination of the world stock indices' co-movements by association rule mining pp. 231-246

- Burcu Kartal, Mehmet Fatih Sert and Melih Kutlu
- Is there a price bubble in the exchange rates of the developing countries? The case of BRICS and Turkey pp. 247-261

- Hakan Yildirim, Saffet Akdag and Andrew Adewale Alola
- The impact of real exchange rates on real stock prices pp. 262-276

- Hock Tsen Wong
- Economic policy uncertainty of China and investment opportunities: a tale of ASEAN stock markets pp. 277-293

- Hassanudin Mohd Thas Thaker, Mohamed Asmy Mohd Thas Thaker, Muhammad Rizky Prima Sakti, Imtiaz Sifat, Anwar Allah Pitchay and Hafezali Iqbal Hussain
- Return and volatility spillover between India and leading Asian and global equity markets: an empirical analysis pp. 294-312

- Aswini Kumar Mishra, Saksham Agrawal and Jash Ashish Patwa
- Testing the market efficiency in Indian stock market: evidence from Bombay Stock Exchange broad market indices pp. 313-327

- Rajesh Elangovan, Francis Gnanasekar Irudayasamy and Satyanarayana Parayitam
- Risk-managed time-series momentum: an emerging economy experience pp. 328-343

- Simarjeet Singh, Nidhi Walia, Stelios Bekiros, Arushi Gupta, Jigyasu Kumar and Amar Kumar Mishra
- Pakistan: a study of market's returns and anomalies pp. 344-363

- Sana Tauseef and Philippe Dupuy
- Shadow economy in Palestinian territories using currency demand approach pp. 364-375

- Mohammad Kamal Abuamsha and S. Shumali
- Financial fragility and financial stress during the COVID-19 crisis: evidence from Colombian households pp. 376-393

- Raúl Armando Cardona-Montoya, Vivian Cruz and Samuel Arturo Mongrut
- Reinvesting in equity crowdfunding: the case of digital workers pp. 394-411

- Rayan Faisal A. Makki and Stefan Van Hemmen
Volume 27, issue 53, 2022
- Using single impact metrics to assess research in business and economics: why institutions should use multi-criteria systems for assessing research pp. 6-33

- Sergio Olavarrieta
- Reassessing the feasibility of adopting dollarization in Latin America pp. 34-51

- León Padilla
- Health expenditures (total, public and private) and per capita income in the BRICS+T: panel bootstrap causality analysis pp. 52-67

- Şerif Canbay and Mustafa Kırca
- Impact of financial stress in advanced and emerging economies pp. 68-85

- Flavio César Valerio Roncagliolo and Ricardo Norberto Villamonte Blas
- Credit rating announcement and bond liquidity: the case of emerging bond markets pp. 86-104

- Amir Saadaoui, Anis Elammari and Mohamed Kriaa
- Macroeconomic determinants of fiscal policy in East Africa: a panel causality analysis pp. 105-123

- Joseph Mawejje and Nicholas Odhiambo
- Do public and internal debt cause income inequality? Evidence from Kenya pp. 124-138

- Wilkista Lore Obiero and Seher Gülşah Topuz
- Impact of internal remittance on households' use of bank services: evidence from Vietnam pp. 139-153

- Thu Thi Hoai Nguyen, Hung Manh Le, Le Quoc Hoi and Hang Thu Pham
- Benford's law for integrity tests of high-volume databases: a case study of internal audit in a state-owned enterprise pp. 154-174

- Héctor Rubén Morales, Marcela Porporato and Nicolas Epelbaum
- Pemex: oil price and financial management in the context of elevated fiscal burden pp. 175-194

- Angélica Tacuba
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