EconPapers    
Economics at your fingertips  
 

The IUP Journal of Financial Economics

2003 - 2012

From IUP Publications
Bibliographic data for series maintained by G R K Murty ().

Access Statistics for this journal.
Track citations for all items by RSS feed
Is something missing from the series or not right? See the RePEc data check for the archive and series.


Volume X, issue 1, 2012

The Effect of Exchange Rates on Economic Growth: Empirical Testing on Nominal Versus Real pp. 7-17
Mori Kogid, Rozilee Asid, Jaratin Lily, Dullah Mulok and Nanthakumar Loganathan
Integration of Indian Stock Market with Other Markets in the Asia-Pacific Region pp. 18-32
P Srikanth
Dynamic Panel Data Model and FDI Determinants in India pp. 33-41
Rudra Prakash Pradhan
Valuation of Fixed Price Offers: An IPO Perspective pp. 42-61
Seshadev Sahoo
Market Timing, Selectivity and Mutual Fund Performance: An Empirical Investigation of Selective Equity Diversified Schemes in India pp. 62-84
Rakesh Kumar

Volume IX, issue 4, 2011

Strategic Urban Development Under Uncertainty pp. 7-27
Flavia Cortelezzi, Pierpaolo Giannoccolo and Giovanni Villani
Foreign Aid Inflows and the Real Exchange Rate: Are There Dutch Disease Effects in Ghana? pp. 28-59
Aliyu Sanusi
Impact of Political Regime and Economic Openness on Income Inequality: A Tale of Low-Income and OECD Countries pp. 60-75
Archana Pillai
A Note on the Social Costs of Monopoly and Regulation pp. 76-79
Jamal Ibrahim Haidar

Volume IX, issue 3, 2011

Hedging Effectiveness of Constant and Time-Varying Hedge Ratio in Indian Commodity Futures Markets: Evidence from the Multi-Commodity Exchange pp. 7-27
Srinivasan P
A Quest for Small-Firm Effect: Evidence from KLSE Second Board pp. 28-39
Abdul Razak Bin Abdul, Hadi Jaafar Pyeman and Wan Mansor Mahmood
Effectiveness of Microfinance Under SGSY Scheme to Reduce Poverty and Vulnerability of Rural Households: A Natural Experiment pp. 40-55
Amit Kundu

Volume IX, issue 2, 2011

Financial Inclusion in India: An Evaluation of the Coverage, Progress and Trends pp. 7-26
Vighneswara Swamy
Financial Inclusion: Status, Issues, Challenges and Policy in Northeastern Region pp. 27-40
Anand Singh Kodan, Narander Kumar Garg and Sandeep Kaidan
SMEs and Economic Growth in India: Cointegration Analysis pp. 41-59
Annapurna Dixit and Alok Pandey

Volume IX, issue 1, 2011

Unexpected Correlations in Fama-MacBeth Methodology Outcomes pp. 7-23
Laurent Cavenaile, David Dubois and Jaroslav Hlávka
Capital Asset Pricing Model: Evidence from the Stock Exchange of Mauritius pp. 24-40
Subadar Agathee Ushad
Illiquidity Premium and Stylized Equity Returns pp. 41-52
Arshad Hassan and Muhammad Tariq Javed
Trade Settlement Failures in US Bond Markets pp. 53-78
Susanne Trimbath

Volume VIII, issue 4, 2010

Is Post-Reform Financial Development a Sufficient Condition for Economic Development? An Emerging Economy’s Experience with Liberalization pp. 7-36
Dawood Mamoon
Financial Development and Economic Growth: Evidence from Nigeria pp. 37-58
Umar Ndako
Economic Reforms and Foreign Direct Investment in India: Policy, Trends and Patterns pp. 59-69
Jatinder Singh

Volume VIII, issue 3, 2010

Are Sovereign Credit Ratings Objective and Transparent? pp. 7-22
Shreekant Iyengar
Bounds Testing Approaches to the Analysis of Finance-Growth Nexus in the Philippines pp. 23-37
M. Shabri Abd. Majid and Hafasnudin
Empirical Evidence on Capital Mobility in Four ASEAN Countries pp. 38-48
Goh Soo Khoon and Kong Seow Shin
Informational Role of Options Open Interests and Volume in Forecasting Future Prices: A Study on Indian Market pp. 49-61
Rajesh Pathak and Nikhil Rastogi

Volume VIII, issue 1 & 2, 2010

CAPM and Capital Budgeting: Present/Future, Equilibrium/Disequilibrium, Decision/Valuation pp. 7-35
Carlo Alberto Magni
Choosing Not to Borrow: An Evaluation of Perception and Sociocultural Factors Underlying Voluntary Self-Exclusion pp. 36-66
Eric Osei-Assibey
Reasons Motivating Firms to Hedge: A Review of the Empirical Literature pp. 67-81
Indranarain Ramlall
The Impact of Risk on Banks’ Technical and Scale Efficiency: Empirical Evidence from the Chinese Banking Sector pp. 82-102
Fadzlan Sufian
Macroeconomic Environment and Financial Sector’s Performance: Econometric Evidence from Three Traditional Approaches pp. 103-123
Muhammad Shahbaz, S M Aamir Shamim and Naveed Aamir

Volume VII, issue 3 & 4, 2009

Stock Prices and Exchange Rate Interactions in Nigeria: A Maiden Intra-Global Financial Crisis Investigation pp. 7-23
Shehu Aliyu
Relevance of Financial Markets for Exchange Rate Modeling in Ghana pp. 24-36
George Tweneboah
Cross-Market Causal Linkages of ASEAN-5 pp. 37-47
Swee-Ling Oh and Evan Lau
Modeling the Long-Run Determinants of Private Investment in Nigeria pp. 48-63
Nurudeen Abu
Corporate Ownership and Stock Returns: An Explanation to the Capital Asset Pricing Model pp. 64-70
Santanu Das
Stock Prices and Exchange Rates: Empirical Evidence from Kuwait’s Financial Markets pp. 71-82
Ahmed Alhayky and Ndambendia Houdou
The Savings-Growth Nexus in Malaysia: Evidence from Nonparametric Analysis pp. 83-94
Chor Foon Tang and Soo Chua
On Stock Market Illiquidity of the NSE of India pp. 95-104
Som Sankar Sen
Microcredit and a Macro Leap: An Impact Analysis of Annapurna Mahila Mandal (AMM), an Urban Microfinance Institution in India pp. 105-120
Prema Basargekar

Volume VII, issue 2, 2009

Volatility and Long-Term Relations in Equity Markets: Empirical Evidence from Germany, Switzerland, and the UK pp. 7-39
Francesco Guidi
A Sufficient Condition for Synchronization Risk and Delayed Arbitrage pp. 40-46
Hideaki Sakawa and Naoki Watanabel
Analyzing Mutual Funds Performance: The Case of Emerging Mauritian Economy pp. 47-60
Beehary Nitish, Rojid Sawkut, Seetanah Boopen, Sannassee Vinesh and Fowdur Suraj
The Role of Community Banking System in Nigeria’s Development Process: An Appraisal pp. 61-73
Risikat Dauda
The Linkages of Asian and the US Stock Markets pp. 74-90
R. C. Royfaizal, C Lee and M. Azali
Small-Scale Industries in Indian Economy: A Quantitative Appraisal pp. 91-108
Annapurna Dixit and Alok Pandey

Volume VII, issue 1, 2009

Competition, Market Structure and Market Power in the Insurance Industry in Lesotho pp. 7-21
H M Bello, M Sepiriti and E M Letete
Linkages Between the Malaysian Stock Market and Some Selected Markets pp. 22-35
Shaista Wasiuzzaman and Lim Ai Li
Modeling Time-Varying Downside Risk pp. 36-51
Don Galagedera and Asmah M Jaapar
Growth of Bank Deposits and Its Determinants: A Pragmatic Study on Commercial Banks pp. 52-65
Jaynal Ud-din Ahmed
A Study on the Characteristics of Investors Using Motive-Based Segmentation pp. 66-83
R Kasilingam and G Jayabal
Page updated 2018-12-16