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Afro-Asian Journal of Finance and Accounting

2008 - 2020

From Inderscience Enterprises Ltd
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Volume 10, issue 2, 2020

An approach to corporate capital structure of Southeast Asian countries pp. 131-150 Downloads
Tri M. Hoang and An Thai
New evidence for the determinants of foreign investment in an Asian market pp. 151-167 Downloads
Ben Le
Corporate governance and investment cash-flow sensitivity: evidence from Tunisia pp. 168-183 Downloads
Dorra Ellouze and Wafa Cherif
Debt maturity and the development of financial markets in Vietnamese listed firms pp. 184-206 Downloads
Thuy An Chung and Quynh Trang Phan
An empirical examination of correlation dynamics between commodity and equity derivative indices: evidence from India using DCC-GARCH models pp. 207-234 Downloads
Perumandla Swamy and Kurisetti Padma
The impact of financial flexibility on debt maturity structure for Australian and Malaysian firms pp. 235-261 Downloads
Huey Chyi Ng and Fan Fah Cheng
Analysing the effect of trading characteristics on liquidity measures – a combined approach to liquidity: evidences from Tehran Stock Exchange pp. 262-277 Downloads
Saeed Fathi, Somaye Jalali, Alireza Ajam and Omid Mirmohammad Sadeghi
Decomposition of the dividend forecast model: firm characteristics or market discrimination? Evidence from the Korean market pp. 278-294 Downloads
Injoong Kim

Volume 10, issue 1, 2020

Audit committee characteristics and earnings conservatism in banking sector: empirical study from GCC pp. 1-23 Downloads
Allam Mohammed Mousa Hamdan
Measuring the effectiveness of selected corporate governance practices and their implications for audit quality: evidence from Qatar pp. 24-47 Downloads
Emad Awadallah
Financial constraints, corporate debt maturity and firm performance: the case of firms in Southeast Asian countries pp. 48-59 Downloads
Liem Nguyen and Canh Nguyen
The determinant of capital adequacy ratio: empirical evidence from Vietnamese banks (a panel data analysis) pp. 60-70 Downloads
Pham Thi Xuan Thoa, Nguyen Ngoc Anh and Nguyen Khac Minh
The herding behaviour on Pakistan stock exchange – using firm-level data pp. 71-84 Downloads
Fasiha Kiran, Naimat U. Khan and Attaullah Shah
Empirical tests of the Fama-French five-factor model in Indonesia and Singapore pp. 85-111 Downloads
Irwan Adi Ekaputra and Bambang Sutrisno
Impact of monetary policy announcements on bank index in India pp. 112-130 Downloads
Sushma Priyadarsini Yalla, Karuna Jain and Som Sekhar Bhattacharyya

Volume 9, issue 4, 2019

Modelling and forecasting volatility for BSE and NSE stock index: linear vs. nonlinear approach pp. 363-380 Downloads
A. Shanthi and R. Thamilselvan
The effects of market power on stability: do diversification and earnings strategy matter? pp. 381-405 Downloads
Mohammed Amidu, William Coffie and Aisha Mohammed Sissy
Technical analysis and National Stock Exchange of India: testing the RSI rule using CNX Nifty index pp. 406-419 Downloads
Esha Jain
Bank specific and economic factors on bank's non-interest-based activities in Asia Pacific region pp. 420-438 Downloads
Koh Chin Wei, Nazrul Hisyam Ab Razak and Fakarudin Kamarudin
Firm attributes, earnings management, and anti-corruption activities in Thai-listed firms pp. 439-458 Downloads
Prawat Benyasrisawat
The impact of companies' internal factors on stock liquidity in Pakistan pp. 459-473 Downloads
Badal Khan, Muhammad Tahir, Abdul Majid Nasir and Muhammad Mushtaq

Volume 9, issue 3, 2019

The impact of bank capital on profitability and risk in GCC countries: Islamic vs. conventional banks pp. 243-268 Downloads
Habib Hasnaoui and Ibrahim Fatnassi
Corporate governance, disclosure and firm performance: empirical findings from Malaysia pp. 269-290 Downloads
Nik Mohamad Zaki Nik Salleh, Chong Lee-Lee, Prem Lal Joshi and Shaista Wasiuzamman
Alignment or entrenchment? Evidence from cash holdings in Thailand pp. 291-308 Downloads
Yordying Thanatawee
The quantile dependence between global crude oil price and stock markets in emerging Asia: evidence from major oil consuming nations pp. 309-331 Downloads
Shekhar Mishra and Sathya Swaroop Debasish
Impact of a regulatory change on initial performance of IPOs pp. 332-348 Downloads
Rasidah Mohd-Rashid, Ruzita Abdul-Rahim, Norliza Che-Yahya and Ahmad Hakimi Tajuddin
The role of the audit committee in moderating the negative effect of non-audit services on earnings management among industrial firms listed on the Amman Stock Exchange pp. 349-361 Downloads
Dea'a Al-Deen Omar Al-Sraheen

Volume 9, issue 2, 2019

Pricing efficiency of exchange traded funds tracking the Gulf Cooperation Countries pp. 117-140 Downloads
Fahad Almudhaf
Are stock returns persistent? Study on Asian stock exchanges pp. 141-166 Downloads
Monika Chopra and Rupish Saldi
Stock market behaviour: efficient or adaptive? Evidence from the Pakistan Stock Exchange pp. 167-192 Downloads
Muhammad Naeem Shahid, Semei Coronado and Abdul Sattar
Nonlinear association between controlling shareholders and leverage: evidence from Jordan pp. 193-212 Downloads
Buthiena Kharabsheh, Mishiel Said Suwaidan and Ramadan Elfaitouri
The interrelation between Baltic Dry Index a practical economic indicator and emerging stock market indices pp. 213-224 Downloads
M. Manoharan and S. Visalakshmi
The determinants of capital structure: the Levant versus Gulf Cooperation Council firms pp. 225-241 Downloads
Fadi Alasfour and Firas Dahmash

Volume 9, issue 1, 2019

Effect of mergers and acquisitions on short-term gain to equity shareholders of acquiring firms in India pp. 1-20 Downloads
Mayank Joshipura and Manoj Panda
Bank loan loss provisions, risk-taking and bank intangibles pp. 21-39 Downloads
Peterson K. Ozili
Examining bank-specific determinants of the dividend payout ratio of Sub-Saharan Africa banks: the panel GMM approach pp. 40-59 Downloads
Odunayo Magret Olarewaju, Stephen Oseko Migiro and Mabutho Sibanda
The influence of tax manipulation upon financial performance: evidence from Bangladesh pp. 60-79 Downloads
Nabila Nisha and Afrin Rifat
The impact of large ownership on capital structure of Vietnamese listed firms pp. 80-100 Downloads
An Thai and Tri M. Hoang
Institutional ownership and corporate governance: evidence from Bahrain pp. 101-115 Downloads
Abdalmuttaleb M.A. Musleh Al-Sartawi and Zakeya Sanad

Volume 8, issue 4, 2018

Engagement partner attributes and earnings quality: evidence from Borsa İstanbul pp. 351-388 Downloads
Murat Ocak and Gökberk Can
Influence of financial distress on exchange rate exposure: evidence from India pp. 389-403 Downloads
Krishna Prasad, K.R. Suprabha and Shridev Devji
Effect of exchange rate volatility on economic growth in Nigeria (1986-2014) pp. 404-412 Downloads
John Adebayo Oloyede and Oladapo Fapetu
Do audit quality, political connection, and institutional ownership increase real earnings management? Evidence from Indonesia pp. 413-430 Downloads
Yeterina Widi Nugrahanti and Andriana Puspitasari
Implied volatility in the individual stocks call options market: evidence from Malaysia pp. 431-456 Downloads
Azhar Mohamad and Muhammad Rizky Prima Sakti

Volume 8, issue 3, 2018

High-quality auditors vs. high-quality audit: the reality in Oman pp. 209-236 Downloads
Saeed Rabea Baatwah, Zalailah Salleh and Norsiah Ahmad
Why do firms smooth dividends? Empirical evidence from an emerging economy India pp. 237-256 Downloads
Nishant B. Labhane
Bank capital buffer, bank credit and economic growth: evidence from India pp. 257-270 Downloads
Aniruddha Durafe and Ankur Jha
A comparative study of the value relevance of accounting information between financial and non-financial companies listed on the Ghana stock exchange pp. 271-295 Downloads
Basil Abeifaa Der, Masairol Haji Masri and Mohammed Salisu Abubakari
An activity-based costing for a university consultancy centre for entrepreneurship pp. 296-316 Downloads
Natasha Khandakar, Fethi Saidi and Bilal Ahmad Elsalem
Calendar return seasonality across sectors, sizes and styles - evidence from the Indian equity markets pp. 317-335 Downloads
Subhransu Sekhar Mohanty
Board characteristics and firm performance - a study of S%P BSE Sensex in India pp. 336-349 Downloads
M. Sriram

Volume 8, issue 2, 2018

Impact of corporate social responsibility on firm's performance: evidence from non-financial sector of Pakistan pp. 105-122 Downloads
Burhan Rasheed, Noman Arshed, Zohair Farooq Malik and Mohyuddin Tahir Mahmood
Does voluntary greenhouse gas emissions disclosure reduce information asymmetry? Australian evidence pp. 123-147 Downloads
Zahra Borghei, Philomena Leung and James Guthrie
Return and volatility spillovers among stock markets: BRICS countries experience pp. 148-166 Downloads
Pradiptarathi Panda and M. Thiripalraju
Regulatory institutional quality and long-run primary capital market development: the Nigerian case pp. 167-189 Downloads
Patrick Omoruyi Eke, Kehinde Adekunle Adetiloye and Joseph Niyan Taiwo
Corporate governance index and firm performance: empirical evidence from Indian banking pp. 190-207 Downloads
Manmeet Kaur and Madhu Vij

Volume 8, issue 1, 2018

Determinants of forward-looking disclosure: evidence from Bahraini capital market pp. 1-19 Downloads
Gehan A. Mousa and Elsayed A.H. Elamir
An analysis of diversification benefits of commodity futures using Markov regime-switching approach pp. 20-47 Downloads
Ritika Jaiswal and Rashmi Uchil
Investor sentiment and asset returns: the case of Indian stock market pp. 48-64 Downloads
Sachin Mathur and Anupam Rastogi
Changes in the value relevance of accounting information before and after the adoption of K-IFRS: evidence from Korea pp. 65-84 Downloads
Gee Jung Kwon
Random walk model and asymmetric effect in Korean composite stock price index pp. 85-104 Downloads
Divya Aggarwal
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