Afro-Asian Journal of Finance and Accounting
2008 - 2025
From Inderscience Enterprises Ltd Bibliographic data for series maintained by Sarah Parker (). Access Statistics for this journal.
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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

- 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

- Rana Hosni
- Impact of liquidity and leverage on the profitability of Indian manufacturing firms pp. 203-220

- Shilpa Jain and Vijay Kumar Gupta
- A comparative analysis of determinants of foreign institutional flows to Indian equity and debt markets pp. 221-242

- 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

- Dereje F. Asrat and Lukas B. Timbate
- Santa Claus rally and American depository receipts: a note pp. 265-276

- 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

- 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

- 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

- Pali Gaur and Shikha Singh
- Commodity sectors and emerging stock markets: is there any risk transmission? pp. 59-76

- Fahmi Ghallabi and Ahmed Ghorbel
- Stress testing of households using micro-data: evidence from a developing country pp. 77-97

- 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

- 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

- Laila Gamal and Hayam Wahba
Volume 14, issue 6, 2024
- Dynamic effects of foreign remittance volatility in low-income SADC countries pp. 757-775

- Kuziva Mamvura, Mabutho Sibanda and Rajendra Rajaram
- Concentrated ownership and corporate social responsibility disclosure: the role of moderation of political connection pp. 776-791

- 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

- 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

- Kishor Chandra Meher and Henok Yeshaw Getaneh
- A causal analysis of fear index and stock indices: evidence from India pp. 837-853

- Ankit Sharma and Vivek Sharma
- Risk profiling of Indian commercial banks - a clustering approach pp. 854-872

- Shailja Vashisht and Mahesh Sarva
- Price clustering and the panic trading hypothesis: evidence from an African coup d'état pp. 873-884

- 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

- Houssem Ben-Ammar
- The role of AC and corporate attributes on KAMs reporting: Malaysian evidence pp. 626-644

- 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

- 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

- 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

- Pankaj Chaudhary
- Impact of board characteristics and capital structure on firm value: evidence from the Indian corporate sector pp. 708-734

- Mahesh Chand Garg and Khushboo Tanwer
- Dividend announcements, share returns and trading volumes on the Johannesburg Stock Exchange pp. 735-756

- 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

- Shakeeb Mohammad Mir, Mariya Mushtaq Malik and Farooq Ahmad Shah
- Composite indicator of systemic integration for Southern African development community pp. 474-495

- Girash Gungaram and Sunil K. Bundoo
- Link between diversification strategies and earnings management: an empirical investigation of manufacturing firms pp. 496-514

- Ranjitha Ajay
- The impact of Russia-Ukraine invasion on market reaction across various industries: an event study on the ASEAN market pp. 515-529

- 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

- Kirti Aggarwal
- Valuation effect of the extent and quality of corporate sustainability disclosure across sectors in Nigeria pp. 563-580

- 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

- 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

- Jagjeevan Kanoujiya and Shailesh Rastogi
- The nexus between liquidity and lottery-like features: evidence from Tehran stock exchange pp. 339-349

- 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

- Noor Saif Muhammad Mussafi, Zuhaimy Ismail and Nur Arina Bazilah Aziz
- Firm attributes and discretionary disclosures of financial institutions in Nigeria pp. 372-392

- 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

- 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

- T. Mohanasundaram, M. Rizwana, S. Sathyanarayana and Padmalini Singh
- Shareholder identity and real earnings management: empirical evidence from Vietnam pp. 432-450

- 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

- 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

- Adamu Yahaya, Fauziah Mahat and Aliyu Mamman
- Islamic religiosity and corporate capital structure: evidence from Malaysia pp. 192-228

- Yee Peng Chow
- Deposits and financial sustainability of deposit-taking microfinance institutions: evidence from low income Sub-Saharan Africa pp. 229-245

- 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

- Mohamed Amin Chakroun and Mohamed Imen Gallali
- The nexus between free cash flow, audit committee characteristics, and earnings management practices pp. 281-296

- 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

- 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

- Atanas Sixpence, Olufemi Patrick Adeyeye and Rajendra Rajaram
- Explanatory power of realised moments pp. 22-42

- Seema Rehman, Saqib Sharif and Wali Ullah
- Financial frictions and stabilisation policies pp. 43-82

- Saira Tufail and Ather Maqsood Ahmed
- The relationship between implied volatility and equity returns in South Africa pp. 83-99

- 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

- Hanna'a Shehada, Mohammed Alashi, Hisham Madi and Maher Durgham
- Developing of an asset/liability allocation model for banks pp. 115-141

- Mohsen Mohammadloo, Nasser Motahari Farimani, Mehdi Feizi and Mohammadali Pirayesh
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