EconPapers    
Economics at your fingertips  
 

Studies in Economics and Finance

1977 - 2024

Current editor(s): Prof Niklas Wagner

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 31, issue 4, 2014

Stock market predictability pp. 354-370 Downloads
Silvio Camilleri and Christopher Green
A structural VAR analysis of Islamic financing in Malaysia pp. 371-386 Downloads
Mansor Ibrahim and Fadzlan Sufian
Are stock prices stationary? Some new evidence from a panel data approach pp. 387-405 Downloads
Xin Shen and Mark Holmes
Regional volatility: common or country-specific? Exploration of international stock market pp. 406-425 Downloads
Asma Mobarek and Michelle Li
Trading volume and return relationship in the crude oil futures markets pp. 426-438 Downloads
Saada Abba Abdullahi, Reza Kouhy and Zahid Muhammad

Volume 31, issue 3, 2014

Contagion effects on stock and FX markets pp. 246-254 Downloads
Dimitrios Dimitriou and Theodore Simos
Factors influencing on-market share repurchase decisions in Australia pp. 255-271 Downloads
Subba Reddy Yarram
Information content of dividends: a case of an emerging financial market pp. 272-290 Downloads
Reza H. Chowdhury, Min Maung and Jenny Zhang
Does hedging in futures market benefit Indian farmers? pp. 291-308 Downloads
Thiagu Ranganathan and Usha Ananthakumar
Acquisition returns: does industry matter? pp. 309-324 Downloads
Reza Yaghoubi, Stuart Locke and Jenny Gibb
The Eurozone crisis and its contagion effects on the European stock markets pp. 325-352 Downloads
Wasim Ahmad, N R Bhanumurthy and Sanjay Sehgal

Volume 31, issue 2, 2014

The forecasting ability of world mutual funds pp. 130-140 Downloads
Javier Rodriguez
An empirical analysis of the performance of pension funds: evidence from UK pp. 141-155 Downloads
Roberta Adami, Orla Gough, Suranjita Mukherjee and Sheeja Sivaprasad
Money factors and EMU government bond markets' convergence pp. 156-167 Downloads
Dionisis Philippas and Costas Siriopoulos
The effect of securitization on US bank lending and monetary policy transmission pp. 168-185 Downloads
Nesrine Ben Salah and Hassouna Fedhila
Labor supply with Friedman-Savage preferences pp. 186-201 Downloads
Joseph G. Eisenhauer
Can investing in corporate social responsibility lower a company's cost of capital? pp. 202-222 Downloads
Marcelo Cajias, Franz Fuerst and Sven Bienert
Is there a right time for corporate investment? pp. 223-243 Downloads
Min Maung and Reza H. Chowdhury

Volume 31, issue 1, 2014

The role of R&D investments in highly R&D-based firms pp. 3-45 Downloads
Antje Schimke and Thomas Brenner
Intraday liquidity patterns in limit order books pp. 46-71 Downloads
Azeem Malik and Wing Lon Ng
How do CFOs make capital structure decisions? A survey of Greek listed companies pp. 72-87 Downloads
Athanasios G. Noulas and Georgios Genimakis
Share repurchases: does frequency matter? pp. 88-105 Downloads
Adri De Ridder and Jonas Råsbrant
The use of discretionary loan loss provisions by Islamic banks and conventional banks in the Middle East region pp. 106-128 Downloads
Hakim Ben Othman and Hounaida Mersni

Volume 30, issue 4, 2013

Impact of audit quality and ownership structure on the bias and accuracy of earnings forecasts issued in IPO prospectuses pp. 288-316 Downloads
A.K.M. Waresul Karim, Kamran Ahmed and Tanweer Hasan
Allocation to industry portfolios under Markov switching returns pp. 317-346 Downloads
Deniz Kebabci Tudor
Macro drivers of Australian housing affordability, 1985-2010 pp. 347-369 Downloads
Andrew Worthington and Helen Higgs
Stock market linkages among new EMU members and the euro area pp. 370-388 Downloads
Christian Dunis, Georgios Sermpinis and Maria Ferenia Karampelia
Inventory accumulation, location and financial structure: evidence from China pp. 389-400 Downloads
Pu Liu and Yingying Shao

Volume 30, issue 3, 2013

Does venture capital portfolio size matter? pp. 192-208 Downloads
James Bartkus, M. Kabir Hassan and Geoffrey Ngene
Are PIIGS stock markets efficient? pp. 209-225 Downloads
Dilip Kumar
Monetary policy effectiveness and the housing market pp. 226-243 Downloads
Roger W. Spencer and John H. Huston
Investment deposits, risk‐taking and capital decisions in Islamic banks pp. 244-265 Downloads
Hichem Hamza and Zied Saadaoui
Macroeconomic surprises and stock returns in South Africa pp. 266-282 Downloads
Rangan Gupta and Monique Reid

Volume 30, issue 2, 2013

Monetary policy and the trade weighted dollar pp. 80-93 Downloads
Christopher Warburton
The effect of leverage mimicking portfolios in explaining stock returns variations pp. 94-107 Downloads
Yaz Muradoglu and Sheeja Sivaprasad
Investigation of optimal capital structure in Malaysia: a panel threshold estimation pp. 108-117 Downloads
Abd Halim Ahmad and Nur Adiana Hiau Abdullah
Corporate governance, economic turbulence and financial performance of UAE listed firms pp. 118-138 Downloads
Mostafa Kamal Hassan and Sawsan Saadi Halbouni
Some stylized facts of return in the foreign exchange and stock markets in Peru pp. 139-158 Downloads
Alberto Humala and Gabriel Rodríguez
Lessons from financial crisis contagion simulation in Europe pp. 159-188 Downloads
Lukasz Prorokowski

Volume 30, issue 1, 2013

Volatility and foreign equity flows: evidence from the Philippines pp. 4-21 Downloads
Joseph French and Vijay Kumar Vishwakarma
Psychological pricing in mergers & acquisitions using prospect theory pp. 22-30 Downloads
Nipun Agarwal and Panlop Zeephongsekul
Why do directors trade? Evidence from US multi‐company directors pp. 31-44 Downloads
Huabing (Barbara) Wang
Propensity to pay dividends and catering incentives in Thailand pp. 45-55 Downloads
Nopphon Tangjitprom
Capital structure – does ownership structure matter? Theory and Indian evidence pp. 56-72 Downloads
Santanu K. Ganguli

Volume 29, issue 4, 2012

Managerial incentives, net debt and investment activity in all‐equity firms pp. 232-246 Downloads
Michael J. Alderson and Brian L. Betker
Neurofinance and investment behaviour pp. 246-267 Downloads
Shalini Kalra Sahi
Monetary policy effects on investment spending: a firm‐level study of Malaysia pp. 268-286 Downloads
Zulkefly Abdul Karim
An empirical analysis of Iran's banking performance pp. 287-300 Downloads
Amir Arjomandi, Charles Harvie and Abbas Valadkhani
Ownership structure, corporate governance and firm performance pp. 301-319 Downloads
Sabur Mollah, Omar Al Farooque and Wares Karim

Volume 29, issue 3, 2012

The impact of financial development on economic growth pp. 148-173 Downloads
Najeb Masoud and Glenn Hardaker
Causality between stock and foreign exchange markets in Bangladesh pp. 174-186 Downloads
Abdullah Noman, Sarkar Humayun Kabir and Omar Bashar
Exchange rate determination and structural changes in response to monetary policies pp. 187-196 Downloads
Yutaka Kurihara
Productivity growth of zakat institutions in Malaysia pp. 197-210 Downloads
Norazlina Abd. Wahab and Abdul Rahim Abdul Rahman
Stock market volatility and bank performance in China pp. 211-228 Downloads
Yong Tan and Christos Floros

Volume 29, issue 2, 2012

Negative effects of US taxation pp. 76-88 Downloads
Javier Portillo and Walter E. Block
A two‐pass model study of the CAPM: evidence from the UK stock market pp. 89-104 Downloads
Tienyu Hwang, Simon Gao and Heather Owen
The nominal rand/dollar exchange rate: before and after 1995 pp. 105-117 Downloads
Sean J. Gossel and Nicholas Biekpe
Impact of future trading on stock market: a study of BRIC countries pp. 118-132 Downloads
Ruchika Gahlot and Saroj Kumar Datta
How responsive are Indonesia's bilateral inpayments and outpayments to real depreciation of Rupiah? pp. 133-143 Downloads
Mohsen Bahmani‐Oskooee and Hanafiah Harvey

Volume 29, issue 1, 2012

Consumption hedging and home‐country bias in a model of international capital market equilibrium pp. 4-10 Downloads
Jacques A. Schnabel
Bank concentration and financial constraints on firm investment in UK pp. 11-25 Downloads
Saeed Abubakr and Franco Esposito
On the cross‐methodological validation of bank efficiency assessments pp. 26-42 Downloads
Shrimal Perera and Michael Skully
Prospect theory and disposition patterns: evidence from Taiwan investors pp. 43-51 Downloads
Min‐Hua Kuo and Shaw K. Chen
An analysis of Fiji's monetary policy transmission pp. 52-70 Downloads
Paresh Narayan, Seema Narayan, Sagarika Mishra and Russell Smyth
Page updated 2025-04-17