EconPapers    
Economics at your fingertips  
 

Afro-Asian Journal of Finance and Accounting

2008 - 2017

From Inderscience Enterprises Ltd
Series data maintained by Darren Simpson ().

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 7, issue 4, 2017

Causal relationship between stock prices and gold rate: empirical evidence from India pp. 305-316 Downloads
Dheyvendhren Bhuvaneshwari and Krishnaraj Ramya
The interaction effect of corporate governance and CAMEL framework on bank performance in Malaysia pp. 317-336 Downloads
Siti Nurain Muhmad and Hafiza Aishah Hashim
The impacts of institutional characteristics on capital structure: evidence from listed commercial banks in China pp. 337-350 Downloads
Phassawan Suntraruk and Liu Xiaoxing
Combinatorial portfolio selection with the ELECTRE III method: case study of the stock exchange of Thailand pp. 351-362 Downloads
Veera Boonjing and Laor Boongasame
The nexus between stock price and foreign exchange rate: validating the portfolio-balance model in Nigeria pp. 363-377 Downloads
Patrick Olufemi Adeyeye, Olufemi Adewale Aluko and Stephen Oseko Migiro
Testing dynamic trade-off theory of capital structure: an empirical study for the textiles industry in India and China pp. 378-401 Downloads
Barnali Chaklader and Dinesh Jaisinghani

Volume 7, issue 3, 2017

The moderating effect of corporate governance on the relationship between related party transactions and firm value pp. 201-226 Downloads
Masood Fooladi and Maryam Farhadi
Ownership structure and bank risk-taking: empirical evidence from Tunisian banks pp. 227-241 Downloads
Atiyet Ben Amor
Pairs trading: is it profitable in Amman Stock Exchange? pp. 242-254 Downloads
Dima Waleed Hanna Alrabadi
Factors affecting financial instruments disclosure in emerging economies: the case of Jordan pp. 255-280 Downloads
Yasean Tahat, Ghassan H. Mardini and David M. Power
Using VIKOR method to prioritise sharia-compliant equivalents for short selling (based on evidence of Iran's stock market) pp. 281-303 Downloads
Maysam Ahmadvand and Hossein Tamalloki

Volume 7, issue 2, 2017

Long-run impact of financial restructuring on capital structure pp. 107-129 Downloads
Anupam Rastogi and Smita Mazumdar
Robust value-at-risk forecasting of Karachi Stock Exchange pp. 130-146 Downloads
Farhat Iqbal
Why the risk-adjusted discount rate method is a better method than the certainty equivalent method: a teaching perspective pp. 147-163 Downloads
Srinivas Nippani
Tax planning and payment timing pp. 164-176 Downloads
Soufiene Assidi and Mohamed Ali Brahim Omri
Money demand and black market exchange rate: a cointegration approach with structural break pp. 177-199 Downloads
Mouyad Al Samara, Lanouar Charfeddine and Zouhair Mrabet

Volume 7, issue 1, 2017

The four-factor model and stock returns: evidence from Sri Lanka pp. 1-15 Downloads
Amal Peter Abeysekera and Pulukkuttige Don Nimal
Modelling persistence in conditional volatility of asset returns pp. 16-34 Downloads
Rajan Pandey and Arya Kumar
Impact of foreign ownership on capital structure and firm value in emerging market: case of Amman Stock Exchange listed firms pp. 35-64 Downloads
Ahmad Y. Khasawneh and Kareem S. Staytieh
Dynamic relation between Islamic and conventional lending rates in Malaysia pp. 65-83 Downloads
Siew-Peng Lee, Noor Azryani Auzairy, Mansor Isa and Chee-Keong Choong
Working capital management in Chinese firms: an empirical investigation of determinants and adjustment towards a target level using dynamic panel data model pp. 84-105 Downloads
Ajid Ur Rehman, Man Wang and Sajal Kabiraj

Volume 6, issue 4, 2016

Asset growth and the cross section of stock returns - evidence from Vietnam pp. 289-304 Downloads
Xuan Vinh Vo and Hong Thu Bui
Cash holdings and corporate governance: an empirical study on Malaysian public listed companies pp. 305-317 Downloads
Kiarash Ehtiat Karrahemi, Siti Zaleha Abdul Rasid and Rohaida Basiruddin
The relationship between corporate governance, foreign investors' shareholdings, and corporate performance: the case of South Korea pp. 318-338 Downloads
Sun-Wung Hwang and Yu Rim Jung
Return predictability in emerging markets during a unique market condition pp. 339-350 Downloads
Sami Al Kharusi and Robert O. Weagley
Share price behaviour around dividend announcements in Pakistan pp. 351-373 Downloads
Naimat U. Khan, Bruce Burton and David Power
A quantile regression approach and nonlinear analysis with Archimedean copulas to explain the movements of residential real estate prices pp. 374-395 Downloads
Khalid Almeshal and Nader Naifar

Volume 6, issue 3, 2016

Finance in Vietnam - an overview pp. 202-209 Downloads
Xuan Vinh Vo
Key determinants of inflation and monetary policy in the emerging markets: evidence from Vietnam pp. 210-223 Downloads
Mohammed M. Elgammal and Mohamed Abdelaziz Eissa
Testing the existence of transfer pricing in Vietnam pp. 224-240 Downloads
Nguyen Khac Quoc Bao, Nguyen Huu Huy Nhut and Nguyen Dinh Tri
Accessibility to credit of small medium enterprises in Vietnam pp. 241-257 Downloads
Ha Thi Thieu Dao, Nguyen Thi Mai and Nguyen Thien Kim
Foreign direct investment into real estate and macroeconomic instability in Vietnam pp. 258-268 Downloads
Quoc Hoi Le
The influence of corporate governance on corporate performance: evidence from Palestine pp. 269-287 Downloads
Yousef M. Hassan, Kamal Naser and Rafiq H. Hijazi

Volume 6, issue 2, 2016

An empirical study on index changes on the Indonesia Stock Exchange pp. 87-118 Downloads
Abdur Rafik and I. Wayan Nuka Lantara
Impacts of the US monetary policy on the Vietnamese stock market pp. 119-134 Downloads
Xuan Vinh Vo and Phuc Canh Nguyen
Determinants of compliance and disclosure requirements by top listed companies under Malaysian Code of Corporate Governance (2012) pp. 135-159 Downloads
Prem Lal Joshi, Nik Mohamad Zaki Sallah, Hamsatulazura Hamzah, Shaista Wasiuzzaman and Anbalagan Krishnan
Financial instruments disclosure: the case of Qatari listed banks pp. 160-182 Downloads
Abdolvahid Mohammadi and Ghassan H. Mardini
Testing the risk-return tradeoff in the emerging market of Jordan: what role for financial crises? pp. 183-198 Downloads
Hisham Al Refai and Mohamed Abdelaziz Eissa

Volume 6, issue 1, 2016

Foreign ownership and stock market liquidity - evidence from Vietnam pp. 1-11 Downloads
Xuan Vinh Vo
Does family group affiliation matter in CSR reporting? Evidence from Yemen pp. 12-30 Downloads
Nahg Abdul Majid Alawi, Azhar Abdul Rahman, Azlan Amran and Mehran Nejati
Quality of corporate reporting: case studies from an emerging capital market pp. 31-52 Downloads
George K. Riro, Nelson M. Waweru and Enrico O. Uliana
The determinants of exchange rate risk management in developing countries: evidence from Indonesia pp. 53-67 Downloads
Nevi Danila and Chia-Hsing Huang
Signalling by IPO grading: an empirical investigation pp. 68-85 Downloads
Seshadev Sahoo

Volume 5, issue 4, 2015

Performance analysis of institutional shareholdings: an empirical study of top 50 non-financial listed firms in Sri Lanka pp. 295-310 Downloads
Nadarajah Sivathaasan and Kosgolla Anura Udayakumara
Market efficiency in developed and emerging markets pp. 311-333 Downloads
Ankit Sharma and Keyur Thaker
A new proxy for investor sentiment: evidence from an emerging market pp. 334-343 Downloads
Dima Waleed Hanna Alrabadi
Foreign direct investment and economic growth: empirical evidence from India pp. 344-355 Downloads
T. Mohanasundaram and P. Karthikeyan
Impact of ownership structure on dividend smoothing: a comparison of family and non-family firms in Pakistan pp. 356-377 Downloads
Ejaz Hussain and Attaullah Shah

Volume 5, issue 3, 2015

Demand-following or supply-leading: an examination of the finance-growth nexus in selected sub-Sahara African countries pp. 193-215 Downloads
Mohamed Jalloh
Earnings attributes and the cost of equity capital: the case of Tunisian companies pp. 216-230 Downloads
Saber Sebai, Messai Mohamed and Fathi Jouini
Debt maturity, financial crisis and corporate performance in GCC countries: a dynamic-GMM approach pp. 231-247 Downloads
Rami Zeitun and Munshi Masudul Haq
Islamic versus conventional banks: a comparative analysis on capital structure pp. 248-264 Downloads
Amel Belanès
Is there a shift in the accounting values in Egypt towards optimism, transparency and professionalism? pp. 265-294 Downloads
Ahmed Abousamak and Hany Kamel

Volume 5, issue 2, 2015

The day of the week effect: evidence from India pp. 99-112 Downloads
Tariq Aziz and Valeed Ahmad Ansari
Liquidity and bank profitability in WAEMU zone: a panel data analysis pp. 113-134 Downloads
T. Guy Crescent Mebounou, Mehmet Baha Karan and Hodonou Dannon
The detection of real earnings management in MENA countries: the case of Tunisia pp. 135-159 Downloads
Sarra Elleuch Hamza and Sondos Bannouri
Volatility forecasting and risk management in some MENA stock markets: a nonlinear framework pp. 160-192 Downloads
Chaker Aloui

Volume 5, issue 1, 2015

Equity capital and bank profitability: evidence from the United Arab Emirates pp. 1-20 Downloads
Reza H. Chowdhury
Price and volume effects associated with scheduled changes in constituents of index: study of NIFTY index in India pp. 21-36 Downloads
Mayank Joshipura and Sundaram Janakiramanan
Do rated firms outperform non-rated peers in the Gulf Co-operation Council region? pp. 37-55 Downloads
Etumudon Asien
Assessing the efficiency of Malaysian banks: a data envelopment analysis approach pp. 56-69 Downloads
Abdelghani Echchabi, Oladokun Nafiu Olaniyi and Abdullah Mohammed Ayedh
Does accounting conservatism measure what it is required to measure? An empirical study of construct validity perspective pp. 70-98 Downloads
Saif-Ur-Rehman Khan, Azlan Ali and Misbah Sadiq
Page updated 2017-12-12