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Afro-Asian Journal of Finance and Accounting

2008 - 2025

From Inderscience Enterprises Ltd
Bibliographic data for series maintained by Sarah Parker ().

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Volume 15, issue 2, 2025

The moderating effect of joint audit on the relationship between the readability of financial statements footnotes and audit effort: evidence from Egypt pp. 143-174 Downloads
Reem Shaker, Ahmed Zamel, Hosam Moubarak, Noriaki Okamoto and Hebatallah Badawy
On the nexus between exchange rate volatility and trade flows: panel data evidence from African economies pp. 175-202 Downloads
Rana Hosni
Impact of liquidity and leverage on the profitability of Indian manufacturing firms pp. 203-220 Downloads
Shilpa Jain and Vijay Kumar Gupta
A comparative analysis of determinants of foreign institutional flows to Indian equity and debt markets pp. 221-242 Downloads
Rajeev Matha, Raghavendra Acharya, E. Geetha and S.P. Shivaprasad
Market timing and capital structure: a comparative study between the USA and China pp. 243-264 Downloads
Dereje F. Asrat and Lukas B. Timbate
Santa Claus rally and American depository receipts: a note pp. 265-276 Downloads
Srinivas Nippani and Júlio Lobão

Volume 15, issue 1, 2025

Analysing asset pricing models in the Indian stock market: a comprehensive empirical study pp. 1-18 Downloads
Saroj S. Prasad, Ashutosh Verma and Shantanu Prasad
The effect of liquidity creation on bank profitability and credit risk: evidence from BRICS countries pp. 19-40 Downloads
Rosy Chauhan and Anil K. Sharma
Can issuers contribute to infrastructure development through municipal bonds in India? Evaluation of factors using AHP approach pp. 41-58 Downloads
Pali Gaur and Shikha Singh
Commodity sectors and emerging stock markets: is there any risk transmission? pp. 59-76 Downloads
Fahmi Ghallabi and Ahmed Ghorbel
Stress testing of households using micro-data: evidence from a developing country pp. 77-97 Downloads
Liaqat Ali, Muhammad Kamran Naqi Khan and Habib Ahmad
When does board share ownership matter? Evidence from across firm life cycle in Sub-Saharan Africa pp. 98-116 Downloads
Ebenezer Agyemang Badu
The impact of behavioural biases on the behaviours of informed and uninformed individual stock investors: case of the Egyptian Stock Exchange pp. 117-141 Downloads
Laila Gamal and Hayam Wahba

Volume 14, issue 6, 2024

Dynamic effects of foreign remittance volatility in low-income SADC countries pp. 757-775 Downloads
Kuziva Mamvura, Mabutho Sibanda and Rajendra Rajaram
Concentrated ownership and corporate social responsibility disclosure: the role of moderation of political connection pp. 776-791 Downloads
Miranda Dewina Hutapea, Yeterina Widi Nugrahanti, Jean Stevany Matitaputty and Supatmi Supatmi
Working capital investment and firm performance: analysis of financial constraint as moderating role pp. 792-821 Downloads
Jamiu Adeniyi Akindele, Asri Marsidi, Shaharudin Jakpar, Akeem Adekunle Adeyemi and Lateef Yunusa
Poverty reduction and donor funds: comparative appraisal of MFIs pp. 822-836 Downloads
Kishor Chandra Meher and Henok Yeshaw Getaneh
A causal analysis of fear index and stock indices: evidence from India pp. 837-853 Downloads
Ankit Sharma and Vivek Sharma
Risk profiling of Indian commercial banks - a clustering approach pp. 854-872 Downloads
Shailja Vashisht and Mahesh Sarva
Price clustering and the panic trading hypothesis: evidence from an African coup d'état pp. 873-884 Downloads
Júlio Lobão and Ricardo Correia

Volume 14, issue 5, 2024

Exploring the relationship between explicit deposit insurance, Islamic banks, and financial stability: a comparative analysis pp. 605-625 Downloads
Houssem Ben-Ammar
The role of AC and corporate attributes on KAMs reporting: Malaysian evidence pp. 626-644 Downloads
Ummi Junaidda Hashim and Norsiah Ahmad
Efficiency performance and the insolvency risk for Takaful insurance firms: evidence from the Gulf Cooperation Council countries pp. 645-667 Downloads
Ahmad Abu-Alkheil, Ghadeer M. Khartabiel, Walayet A. Khan and Bhavik Parikh
The moderating role of diversity of products between the nexus of market concentration toward financial performance: a study in an emerging market pp. 668-683 Downloads
Mohannad Almajali and W. Muhammad Zainuddin Wan Abdullah
CEO compensation, firm performance, board structure and financial constraints: evidence from an emerging economy pp. 684-707 Downloads
Pankaj Chaudhary
Impact of board characteristics and capital structure on firm value: evidence from the Indian corporate sector pp. 708-734 Downloads
Mahesh Chand Garg and Khushboo Tanwer
Dividend announcements, share returns and trading volumes on the Johannesburg Stock Exchange pp. 735-756 Downloads
Andile Nyandeni, Alastair Marais and Kerry McCullough

Volume 14, issue 4, 2024

An empirical analysis of the relationship between capital adequacy and performance optimisation through a comparative standpoint among banking sectors in India pp. 451-473 Downloads
Shakeeb Mohammad Mir, Mariya Mushtaq Malik and Farooq Ahmad Shah
Composite indicator of systemic integration for Southern African development community pp. 474-495 Downloads
Girash Gungaram and Sunil K. Bundoo
Link between diversification strategies and earnings management: an empirical investigation of manufacturing firms pp. 496-514 Downloads
Ranjitha Ajay
The impact of Russia-Ukraine invasion on market reaction across various industries: an event study on the ASEAN market pp. 515-529 Downloads
Dadang Lesmana and Rizky Yudaruddin
Human resource disclosure practices: a comparative analysis of public and private sector manufacturing companies of Indian corporate sector pp. 530-562 Downloads
Kirti Aggarwal
Valuation effect of the extent and quality of corporate sustainability disclosure across sectors in Nigeria pp. 563-580 Downloads
Nwakanma Godwin Nwaigwe
The efficiency and the stability of efficiency rankings of Vietnamese commercial banks through mergers and acquisitions from 2008 to 2018 pp. 581-604 Downloads
Phung Mai Lan, Nguyen Khac Minh, Pham Van Khanh and Nguyen Thien Luan

Volume 14, issue 3, 2024

Impact of efficiency and ownership concentration in Indian banks on their NPAs: a panel data analysis pp. 317-338 Downloads
Jagjeevan Kanoujiya and Shailesh Rastogi
The nexus between liquidity and lottery-like features: evidence from Tehran stock exchange pp. 339-349 Downloads
Alireza Orangian and Mahdi Saeidi Kousha
The downside deviation quadratic programming for stock portfolio optimisation: an empirical study of shariah and conventional indices in Indonesia pp. 350-371 Downloads
Noor Saif Muhammad Mussafi, Zuhaimy Ismail and Nur Arina Bazilah Aziz
Firm attributes and discretionary disclosures of financial institutions in Nigeria pp. 372-392 Downloads
Tunji T. Siyanbola, Appolos N. Nwaobia, Wasiu A. Sanyaolu, Festus F. Adegbie and Lateef Yunusa
Firm size effect and the price and volume reaction to corporate news: evidence from India pp. 393-411 Downloads
Nayanjyoti Bhattacharjee and Anupam De
Structural change, information asymmetry and volatility in Indian stock market: evidence from pre-and-post-COVID-19 outbreak pp. 412-431 Downloads
T. Mohanasundaram, M. Rizwana, S. Sathyanarayana and Padmalini Singh
Shareholder identity and real earnings management: empirical evidence from Vietnam pp. 432-450 Downloads
Hien Thu Bui and Huong Hoang Nguyen Le

Volume 14, issue 2, 2024

Impact of country-level governance on entrepreneurial performance: a cross-country analysis pp. 143-169 Downloads
Najib H.S. Farhan, Faozi A. Almaqtari, Waleed M. Al-Ahdal and Mohd Mohd Yasir Arafat
Credit risk and bank performance: a Sub-Saharan African perspective pp. 170-191 Downloads
Adamu Yahaya, Fauziah Mahat and Aliyu Mamman
Islamic religiosity and corporate capital structure: evidence from Malaysia pp. 192-228 Downloads
Yee Peng Chow
Deposits and financial sustainability of deposit-taking microfinance institutions: evidence from low income Sub-Saharan Africa pp. 229-245 Downloads
Zibusiso Moyo, Sophia Mukorera and Phocenah Nyatanga
Systemic risk, contagion and risk factors in the Tunisian banking system context: measures and determinants pp. 246-280 Downloads
Mohamed Amin Chakroun and Mohamed Imen Gallali
The nexus between free cash flow, audit committee characteristics, and earnings management practices pp. 281-296 Downloads
Dea'a Al-Deen Omar Al-Sraheen, Nofan Hamed Al-Olimat and Mohammad Naser Hamdan
Reported risk categories in the prospectus and IPO valuation in Indian stock market: an empirical investigation pp. 297-316 Downloads
Krishan Lal Grover, Pritpal Singh Bhullar and Seshadev Sahoo

Volume 14, issue 1, 2024

Informational content of cash dividends and retained earnings: evidence from South Africa pp. 1-21 Downloads
Atanas Sixpence, Olufemi Patrick Adeyeye and Rajendra Rajaram
Explanatory power of realised moments pp. 22-42 Downloads
Seema Rehman, Saqib Sharif and Wali Ullah
Financial frictions and stabilisation policies pp. 43-82 Downloads
Saira Tufail and Ather Maqsood Ahmed
The relationship between implied volatility and equity returns in South Africa pp. 83-99 Downloads
Faeezah Peerbhai, Damien Kunjal, Delane D. Naidu, Camiel Singh and Fabian Moodley
The effect of corporate social responsibility disclosure on financial performance: evidence from Palestinian banks and insurance public listed companies pp. 100-114 Downloads
Hanna'a Shehada, Mohammed Alashi, Hisham Madi and Maher Durgham
Developing of an asset/liability allocation model for banks pp. 115-141 Downloads
Mohsen Mohammadloo, Nasser Motahari Farimani, Mehdi Feizi and Mohammadali Pirayesh
Page updated 2025-04-09