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 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
Volume 26, issue 52, 2021
- The effectiveness of risk management system and firm performance in the European context pp. 182-196

- Louai Ghazieh and Nadia Chebana
- Value-at-risk predictive performance: a comparison between the CaViaR and GARCH models for the MILA and ASEAN-5 stock markets pp. 197-221

- Ramona Serrano Bautista and José Antonio Núñez Mora
- Deviations from fundamental value and future closed-end country fund returns pp. 222-236

- Luis Berggrun, Emilio Cardona and Edmundo Lizarzaburu
- Linkages between gold and Latin American equity markets: portfolio implications pp. 237-251

- Imran Yousaf, Hasan Hanif, Shoaib Ali and Syed Moudud-Ul-Huq
- The effect of macroeconomic variables on the robustness of the traditional Fama–French model. A study for Mexico using different portfolios pp. 252-267

- Eduardo Saucedo and Jorge González
- Artificial intelligence applied to investment in variable income through the MACD (moving average convergence/divergence) indicator pp. 268-281

- Alberto Antonio Agudelo Aguirre, Néstor Darío Duque Méndez and Ricardo Alfredo Rojas Medina
- Quadrinomial trees with stochastic volatility to value real options pp. 282-299

- Freddy H. Marín-Sánchez, Julián A. Pareja-Vasseur and Diego Manzur
- Factors driving IPO variability: evidence from Pakistan stock exchange pp. 300-316

- Waqas Mehmood, Rasidah Mohd-Rashid, Chui Zi Ong and Yasir Abdullah Abbas
- Capital structure, stock exchanges in Chile: 2007 to 2016 pp. 317-332

- Marcelo Rabelo Henrique, Sandro Braz Silva and Antonio Saporito
- CEO turnover in public and private organizations: analysis of the relevance of different performance horizons pp. 333-357

- Esteban Lafuente and Miguel Á. García-Cestona
- The impact of customer performance on IMC outcomes: firm size moderation in the inter-country context pp. 358-375

- Vera Butkouskaya, Joan Llonch-Andreu and María-del-Carmen Alarcón-del-Amo
- The impact of economic growth, trade openness and manufacturing on CO2 emissions in India: an autoregressive distributive lag (ARDL) bounds test approach pp. 376-389

- Yaswanth Karedla, Rohit Mishra and Nikunj Patel
- The use of the mobile phone in the rural zones of Peru pp. 390-399

- Jubitza Mariana Franciskovic and Francesc Miralles
Volume 26, issue 51, 2021
- IFRS adoption and firms’ opacity around the world: what factors affect this relationship? pp. 7-21

- Samuel Mongrut, Manuel Tello Marín, Maria del Carmen Torres Postigo and Darcy Fuenzalida O’Shee
- Institutional quality and risk in the banking system pp. 22-40

- Canh Nguyen, Christophe Schinckus, Thanh Su and Felicia Hui Ling Chong
- Financial system specialization and private research and development expenditure: research for OECD countries pp. 41-60

- Edgard Alberto Méndez-Morales and Carlos Andrés Yanes-Guerra
- Pensionable age vs cross-country diversity of economic activity of the near-elderly pp. 61-76

- Filip Chybalski
- Relationship between cash holdings and expected equity returns: evidence from Pacific alliance countries pp. 77-93

- Judith Vergara Garavito and Sergio J. Chión
- Portfolio performance under tracking error and benchmark volatility constraints pp. 94-111

- Jan Frederick Hausner and Gary van Vuuren
- The impact of rating classifications on stock prices of Brazilian companies pp. 112-126

- Fernanda Pagin, Matheus da Costa Gomes, Rafael Moreira Antônio, Tabajara Pimenta Júnior and Luiz Gaio
- The impacts of intellectual capital on financial performance and value-added of the production evidence from Chile pp. 127-142

- Christian Acuña-Opazo and Oscar Contreras González
- Innovation and patents as a business success factor pp. 143-159

- Youseline Garavito Hernández and Javier Francisco Rueda Galvis
- Ethnic diverse and financing choices affecting of business survival: a case study of New Zealand small- and medium-sized enterprises pp. 160-174

- Geeta Duppati, Francis Scrimgeour, Surachai Chancharat and Ploypailin Kijkasiwat
Volume 25, issue 50, 2020
- External debt and growth: role of stable macroeconomic policies pp. 185-204

- Sima Rani Dey and Mohammad Tareque
- Mediation effect of psychological contract between personality dimensions and turnover intention pp. 205-219

- Maryam Saeed
- The role of natural resources in economic growth: new evidence from Pakistan pp. 221-238

- Aiza Shabbir, Shazia Kousar and Farzana Kousar
- OPEC news and predictability of energy futures returns and volatility: evidence from a conditional quantile regression pp. 239-259

- Abdelkader Derbali, Shan Wu and Lamia Jamel
- Financial literacy and behavioural biases of individual investors: empirical evidence of Pakistan stock exchange pp. 261-278

- Nosheen Rasool and Safi Ullah
- Impact of gold and oil prices on the stock market in Pakistan pp. 279-294

- Aiza Shabbir, Shazia Kousar and Syeda Azra Batool
- Intra-banking competition in Ecuador: new evidence using panel data approach pp. 295-319

- Javier Solano, Segundo Camino-Mogro and Grace Armijos-Bravo
- Hybrid cluster analysis of customer segmentation of sea transportation users pp. 321-337

- Bambang Eka Cahyana, Umar Nimran, Hamidah Nayati Utami and Mohammad Iqbal
- Identifying fiscal inflation in India: some recent evidence from an asymmetric approach pp. 363-393

- Javed Ahmad Bhat and Naresh Kumar Sharma
- Causality and dynamic relationships between exchange rate and stock market indices in BRICS countries pp. 395-412

- Mourad Mroua and Lotfi Trabelsi
- Boardroom female participation, intellectual capital efficiency and firm performance in developing countries pp. 413-424

- Wakeel Atanda Isola, Ngozi Adeleye and Aminat Olayinka Olohunlana
- Environmental determinants of destination competitiveness and its Tourism Attractions-Basics-Context, A-B-C, indicators pp. 425-449

- Lalita A. Manrai, Ajay K. Manrai and Stefanie Friedeborn
- Loss aversion, overconfidence of investors and their impact on market performance evidence from the US stock markets pp. 451-478

- Ahmed Bouteska and Boutheina Regaieg
Volume 25, issue 49, 2020
- Model for assessing the quality of marketing-management education pp. 5-25

- Jaime Rivera and Víctor Alarcón
- Dimensions of tax burden: a review on OECD countries pp. 27-43

- Ferdi Celikay
- Investigation of optimal inflation targets for 15 major oil exporting Sub-Saharan African countries pp. 45-60

- Idris Abdullahi Abdulqadir, Soo Y. Chua and Saidatulakmal Mohd
- Corporate governance and business innovation among listed Moroccan companies pp. 61-72

- Zoubida Samlal
- The mediating role of adoption of an electronic tax system in the relationship between attitude towards electronic tax system and tax compliance pp. 73-88

- Sadress Night and Juma Bananuka
- An introduction to pensionomics pp. 89-100

- Mario Ruiz Estrada and Evangelos Koutronas
- Predicting manufacturing employee turnover intentions pp. 101-117

- Angie R. Skelton, Deborah Nattress and Rocky J. Dwyer
- The dynamics of bond market development, stock market development and economic growth pp. 119-147

- Rudra P. Pradhan, Mak Arvin, Neville R. Norman and Sahar Bahmani
- The associations between stock prices, inflation rates, interest rates are still persistent pp. 149-161

- Tarek Eldomiaty, Yasmeen Saeed, Rasha Hammam and Salma AboulSoud
- Generation and distribution of income in Mexico, 1990-2015 pp. 163-180

- Francisco Javier Ayvar-Campos, José César Lenin Navarro-Chávez and Víctor Giménez
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