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The IUP Journal of Financial Economics

2003 - 2012

From IUP Publications
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Volume VI, issue 4, 2008

The Relationship Between Capital Markets and the Frequency and Duration of Recession pp. 7-33
Piyapas Tharavanij
Using Intra-Day Data to Analyze Bid-Ask Spread: A Case of Mauritius Stock Exchange pp. 34-49
Rojid Sawkut, Seetanah Boopen and Hossenbocus Ruwaydah
Time Series Analysis on Factors Influencing Saving Rate in Malaysia pp. 50-61
Chen Chen Yong, Audrey Kim Lan Siah, Pei-Lee Teh and Keng-Boon Ool
Impact of Working Capital Management in the Profitability of Hindalco Industries Limited pp. 62-72
J P Singh and Shishir Pandey
Determinants of Inter-Firm Contractual Relations: A Case of Indian Software Industry pp. 73-85
Francis Rathinam
Foreign Currency Convertible Bonds (FCCBs): Taking India Inc.to the Global Financial Avenues pp. 86-97
Deepak Devgan and Harpreet Dusanjh

Volume VI, issue 3, 2008

Macroeconomic Uncertainty of the 1990s and Volatility at Karachi Stock Exchange pp. 7-28
Dawood Mamoon and Eatzaz Ahmad
Trends, Behavioral Patterns and Growth Implications of Foreign Private Capital Flows in Nigeria pp. 29-40
Risikat Dauda
Return Distributions: Evidence from Emerging African Stock Exchanges pp. 41-52
Subadar Agathee Ushad, Sooraj Fowdar, Sannassee Raja Vinesh and Moushumi Jowaheer
Association Between Stock Market Liquidity and Some Selected on Indian Stock Market Macroeconomic Variables: A Case Study pp. 53-73
Som Sankar Sen and Santanu Kumar Ghosh
Long Memory of the Indian Stock Market pp. 74-83
Ashutosh Verma
Position of Foreign Direct Investment in India pp. 84-91
Komal Narang and Ravi Inder Singh

Volume VI, issue 2, 2008

The Design of Bank Loan Syndicates in Emerging Market Economies pp. 7-29
Christophe Godlewski
Housing and Stock Market Returns: An Application of GARCH Enhanced VECM pp. 30-40
Emmanuel Anoruo and Habtu Braha
Portfolio Balance Model of Exchange Rate Behavior: A Peso-Dollar Example pp. 41-47
Ferdinand Nwafor
Does Infrastructure Play a Role in Foreign Direct Investment? pp. 48-60
Rudra Prakash Pradhan
The Indian Corporate Debt Market: Prescription for Revival pp. 61-69
Tamal Datta Chaudhuri
Corporate Finance Structure in Indian Capital Market: A Case of Indian Pharmaceutical Industries pp. 70-85
Venkatamuni Reddy R and Hemanth Babu P
Empirical Tests of Capital Asset Pricing Model: The Case of Indian Stock Markets pp. 86-101
Harish Kumar Singla

Volume VI, issue 1, 2008

Italian Equity Funds: Efficiency and Performance Persistence pp. 7-28
Roberto Casarin, Andrea Piva and Loriana Pelizzon
Financial Development and Globalization in Nigeria pp. 29-45
Mobolaji H I and Umar Ndako
Family Control Business and Capital Market Development in ASEAN pp. 46-55
Bany Ariffin Amin Noordin and Siong Hook Law
Financial Performance of Non-Banking Financial Institutions in India pp. 56-76
Gursharan Kainth
Fear in Financial Economics pp. 77-87
Jyotirmayee Kar
Microfinance for Micro Enterprise Development: An Inquiry for a New Paradigm pp. 88-98
Naveen K Shetty

Volume V, issue 4, 2007

Volatility Spillovers from the US to Indian Stock Market: A Comparison of GARCH Models pp. 7-30
K Kiran Kumar and Chiranjit Mukhopadhyay
An Evaluation of the Exchange Rate Forecasting Performance of the New Keynesian Model pp. 31-56
Francis Vitek
Exponential Spectral Risk Measures pp. 57-66
Kevin Dowd and John Cotter
Off-Balance Sheet Activities and Performance of Commercial Banks in Malaysia pp. 67-80
Mohd Karim and Sok-Gee Chan
An Examination of Weak Form Efficiency of BSE 100 Index Companies pp. 81-93
Ashutosh Verma and Nageshwar Rao

Volume V, issue 3, 2007

Statistical Evaluation of Market Barometer in Malaysian Stock Market pp. 7-27
Cheong Chin
Estimating Portfolio Risk with Conditional Joe-Clayton Copula: An Empirical Analysis with Asian Equity Markets pp. 28-41
Alper Ozun and Atilla Cifter
Excess Liquidity in Guyana: Theoretical and Policy Implications pp. 42-58
Tarron Khemraj
Hedge Funds and Exchange Rates Interactions in Indonesia: A Note pp. 59-63
W.N.w Azman-Saini, Siong Hook Law, Abd Halim Ahmad, Rosmila Senik and Wan Zulqurnain Wan Ismail
Export-Led Growth Hypothesis in Developing Countries pp. 64-77
Zulkornain Yusop, Shahrun Nizam bin Abdul Aziz and Chee-Keong Choong
Effects of Volatility of Exports in the Philippines and Thailand pp. 78-83
Dipendra Sinha
An Empirical Analysis of Determinants of Foreign Debt: The Case of Sri Lanka pp. 84-91
V Krishna Chaitanya

Volume V, issue 2, 2007

Equity Security Prices, Investors’ Planning Horizon, and Corporate Financial Planning pp. 7-20
Stanley Salvary
Women Empowerment and Credit Control: An Empirical Analysis on Credit Recipients of Grameen Bank in Bangladesh pp. 21-30
Rafiqul Bhuyan Rafiq, Shahnaz Abdullah and Hamid Ahmadi
Do Large Hedgers and Speculators React to Events? An Analysis of Stability and Events pp. 31-41
Ikhlaas Gurrib
Factoring Services: Nectar for Corporate Liquidity pp. 42-59
Deepak Devgan and Harpreet Dusanjh
Small and Medium Enterprises’ Financing and Investment Decision: An Empirical Study pp. 60-75
Sanjeev Gupta, Shaveta Gupta, Anu Sahi and Nitish Kamra
Innovative Strategy and its Welfare Implications pp. 76-86
Rimi Mutsuddi and Indranil Mutsuddi

Volume V, issue 1, 2007

Stock Prices, Exchange Rates and Causality in Malaysia: A Note pp. 7-13
W.N.w Azman-Saini, Muzafar Shah Habibullah, Siong Hook Law and A M Dayang-Affizzah
Financial Development and Economic Growth in Uganda pp. 14-34
Nicholas Kilimani
Are the Asian FDI Inflows Cointegrated with the Indian FDI Inflows? Empirical Research Findings pp. 35-42
Rudra Prakash Pradhan
Savings Behavior of Rural Farm Households: A Case Study of Coastal Andhra Pradesh pp. 43-60
Paramaiah Ch and S K V S Raju
Premium Income of Indian Life Insurance Industry: A Total Factor Productivity Approach pp. 61-69
Ram Sinha
Comparing Short-term, Medium-term and Long-term Moving Averages to Get Bull or Bear Signals in Stock Market pp. 70-78
J Gopu and L Aravindh Kumaran
Inflation and Growth Dilemma: An Econometric Analysis of the Indian Economy pp. 79-87
L Krishna Veni and Pradeep Choudhury
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