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.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
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
- Examining the differential impact of monetary policy in India: a policy simulation approach pp. 339-362

- Sajad Ahmad Bhat, Bandi Kamaiah and Debashis Acharya
- 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, 2018
- 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
Volume 24, issue 48, 2019
- Uncertainty under hyperbolic discounting: the cost of untying your hands pp. 176-193

- Christian Diego Alcocer, Julián Ortegón and Alejandro Roa
- Fractional differencing in stock market price and online presence of global tourist corporations pp. 194-204

- Francisco Flores-Muñoz, Alberto Javier Báez-García and Josué Gutiérrez-Barroso
- Does IFRS convergence really increase accounting qualities? Emerging market evidence pp. 205-220

- Fuad Fuad, Agung Juliarto and Puji Harto
- An alternative formula for the constant growth model pp. 221-240

- Juan A. Forsyth
- Seasonal anomalies in the market for American depository receipts pp. 241-265

- Júlio Lobão
- Internet financial reporting adoption pp. 266-287

- Juma Bananuka, Sadress Night, Muhammed Ngoma and Grace Muganga Najjemba
- The impact of transaction costs in portfolio optimization pp. 288-311

- Luc Chavalle and Luis Chavez-Bedoya
- “Fool me once, …”: deception, morality and self-regeneration in decentralized markets pp. 312-326

- Orlando Gomes and João Frade
- Financial performance trends of United States Hockey Inc: a resource-dependency approach pp. 327-344

- Peter Omondi-Ochieng
- Analysing the impact of a business intelligence system and new conceptualizations of system use pp. 345-368

- Rolando Gonzales and Jonathan Wareham
Volume 24, issue 47, 2019
- The determinants of conventional banks profitability in developing and underdeveloped OIC countries pp. 4-28

- Ahmad Al-Harbi
- Impact of information and communication technology in Nigerian small-to medium-sized enterprises pp. 29-46

- Kessington Okundaye, Susan K. Fan and Rocky J. Dwyer
- Should banks be averse to elections? A GMM analysis of recent elections in Ghana pp. 47-65

- Mohammed Yaw Broni, Mosharrof Hosen, Hardi Nyagsi Mohammed and Ganiyatu Tiamiyu
- Return and volatility spillover across equity markets between China and Southeast Asian countries pp. 66-81

- Ngo Thai Hung
- Co-authorship networks of Argentine economists pp. 82-96

- Juan M.C. Larrosa
- Determinants of innovation pp. 97-112

- Jorge Aníbal Restrepo-Morales, Osmar Leandro Loaiza and Juan Gabriel Vanegas
- Financial development and economic growth: panel evidence from BRICS pp. 113-126

- Biplab Kumar Guru and Inder Sekhar Yadav
- The relationship between the income and behavioural biases pp. 127-144

- Renu Isidore R. and Christie P.
- Foreign direct investment and institutional stability: who drives whom? pp. 145-156

- Nihal Mahmood, Mohammad Hassan Shakil, Ishaq Mustapha Akinlaso and Mashiyat Tasnia
- Personal bankruptcy prediction using decision tree model pp. 157-170

- Sharifah Heryati Syed Nor, Shafinar Ismail and Bee Wah Yap
| |