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.
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Volume 28, issue 4, 2011
- Determinants of off‐balance sheet usage in private banks pp. 248-259

- Elizabeth W. Cooper
- The effect of universal futures on opening and closing stock market price discovery pp. 260-281

- Patricia L. Chelley‐Steeley and James Steeley
- Ultimate ownership structure and stock liquidity: empirical evidence from Tunisia pp. 282-300

- Ghabri Yosra and Olfa Ben Ouda Sioud
- Modeling coherent trading risk parameters under illiquid market perspective pp. 301-320

- Mazin A.M. Al Janabi
- Dynamic structure of the US financial systems pp. 321-339

- Khaldoun Khashanah and Linyan Miao
Volume 28, issue 3, 2011
- Credit booms in the Caribbean pp. 164-178

- Stacia Howard, Denny Lewis‐Bynoe and Winston Moore
- The Sri Lankan stock market and the macroeconomy: an empirical investigation pp. 179-195

- Guneratne Wickremasinghe
- Returns or valuation? Foreign equity investment in the United States pp. 196-216

- Joseph French and Nazneen Ahmad
- The intertemporal mechanics of European stock price momentum pp. 217-232

- Philip Stork
- Mapping a country's competitive position: a real exchange rate approach pp. 233-244

- J. Zambujal‐Oliveira and Miguel Faria-e-Castro
Volume 28, issue 2, 2011
- Does infrequent trading make a difference on stock market efficiency? pp. 96-110

- Osamah AlKhazali
- Contra Eichengreen and Mitchener on ABCT pp. 111-117

- Walter Block and William Barnett
- Do emerging market firms follow different dividend policies? pp. 118-135

- Sabur Mollah
- Saving and investment in Saudi Arabia: an empirical analysis pp. 136-148

- Reetu Verma and Ali Salman Saleh
- The Kuznets curve: determinants of its shape and the role of finance pp. 149-159

- Tobias F. Rötheli
Volume 28, issue 1, 2011
- On the relationship between weather and stock market returns pp. 5-13

- Christos Floros
- Predictable patterns in ETFs' return and tracking error pp. 14-35

- Gerasimos G. Rompotis
- Volatility transmission and asymmetric linkages between the stock and foreign exchange markets pp. 36-50

- Tian Yong Fu, Mark Holmes and Daniel F.S. Choi
- Central bank Islamic monetary instruments: a theoretical approach pp. 51-67

- Rifki Ismal
- Financial development, international migrant remittances and endogenous growth in Ghana pp. 68-89

- Deodat Adenutsi
Volume 27, issue 4, 2010
- The long‐run Fisher effect in developing economies pp. 268-275

- Shabbir Ahmad
- Business history and conflicting entrepreneurial culture as explanatory factors of success and failure of FDI in Chinese economy pp. 276-298

- Ioannis‐Dionysios Salavrakos
- Volatility transmission: what do Asia‐Pacific markets expect? pp. 299-313

- Ahmed Shamiri and Zaidi Isa
- Financial liberalization, financial development and growth linkages in Sub‐Saharan African countries pp. 314-339

- Abdullahi Ahmed
- Lead bank quality and adverse rating announcements pp. 340-357

- Wei‐Huei Hsu, Abdullah Mamun and Lawrence Rose
Volume 27, issue 3, 2010
- Investment opportunities, corporate finance, and dividend payout policy pp. 180-194

- Joshua Abor and Godfred A. Bokpin
- Disentangling the driving force of pyramidal firms' capital structure: a new perspective pp. 195-210

- A.N. Bany‐Ariffin
- Some empirical evidence on the demand for money in the Pacific Island countries pp. 211-222

- Rup Singh and Saten Kumar
- Enhancement of value portfolio performance using data envelopment analysis pp. 223-246

- Eero Pätäri, Timo H. Leivo and J.V. Samuli Honkapuro
- Rational speculative bubbles in MENA stock markets pp. 247-264

- Jung‐Suk Yu and M. Kabir Hassan
Volume 27, issue 2, 2010
- The global recession pp. 91-109

- Michael Sakbani
- Greed, financial innovation or laxity of regulation? pp. 110-134

- M. Imtiaz Mazumder and Nazneen Ahmad
- Economy of post‐Communist capitalism under the financial crisis pp. 135-147

- Vladimer Papava
- The 2007 crisis and countercyclical policy pp. 148-160

- Joan O'Connell
- Credit rating agencies and global financial crisis pp. 161-174

- Vassiliki L. Papaikonomou
Volume 27, issue 1, 2010
- The impact of cross‐listings on the UK and the German stock markets pp. 4-18

- Athanasios Koulakiotis, Katerina Lyroudi, Nikos Thomaidis and Nicholas Papasyriopoulos
- Stock market and aggregate consumption asymmetry: evidence from Malaysia pp. 19-29

- Mansor Ibrahim and Muzafar Shah Habibullah
- Stackelberg real‐leader in an insider trading model pp. 30-46

- Leonard Wang and Ya‐Chin Wang
- Does trade matter for stock market integration? pp. 47-66

- Bakri Abdul Karim and M. Shabri Abd. Majid
- Determinants of credit spread changes for the financial sector pp. 67-82

- Wassim Dbouk and Lawrence Kryzanowski
Volume 26, issue 4, 2009
- Why 5 percent? An analysis of optimal endowment spending rates pp. 216-231

- Steven L. Green
- Asymmetric central bank's preference and inflation rate in Jordan pp. 232-245

- Osama Sweidan
- Ownership structure, corporate governance and capital structure decisions of firms pp. 246-256

- Godfred A. Bokpin and Anastacia C. Arko
- Market volatility across countries – evidence from international markets pp. 257-274

- Sabur Mollah and Asma Mobarek
- The efficiency of African equity markets pp. 275-292

- David G. McMillan and Pako Thupayagale
Volume 26, issue 3, 2009
- Divergence of opinion and valuation in a mean‐variance framework pp. 148-154

- Jacques A. Schnabel
- Banking performance and technological change in non‐core EU countries pp. 155-170

- Catarina Figueira, Joseph Nellis and David Parker
- Evaluating random walk forecasts of exchange rates pp. 171-181

- Hamid Baghestani
- Dividend behaviour and smoothing new evidence from Jordanian panel data pp. 182-197

- Basil Al‐Najjar
- Stock returns, size, and book‐to‐market equity pp. 198-212

- Pradosh Simlai
Volume 26, issue 2, 2009
- Toeholds and takeover probability: implications for investment strategies pp. 69-86

- J. Samuel Baixauli and Matilde O. Fernández
- Cointegration of Indian stock markets with other leading stock markets pp. 87-94

- N. Rajiv Menon, M.V. Subha and S. Sagaran
- Recent evidence on efficiency in Southern European banking pp. 95-112

- Simeon Papadopoulos and Stelios Karagiannis
- Specialization and other determinants of non‐commercial bank financial institutions' profitability pp. 113-128

- Fadzlan Sufian and Suarddy Parman
- Macroeconomic development and capital structure decisions of firms pp. 129-142

- Godfred Alufar Bokpin
Volume 26, issue 1, 2009
- Information‐based early exercise of US employee stock options pp. 4-23

- Joel S. Sternberg and H. Doug Witte
- Reexamination of stock liquidity risk with a relative measure pp. 24-35

- Hamid Uddin
- The effects of macroeconomic factors on stock returns: Istanbul Stock Market pp. 36-45

- Husam Rjoub, Turgut Türsoy and Nil Günsel
- Speculative excess and the Federal Reserve's response pp. 46-61

- John H. Huston and Roger W. Spencer
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