Economics at your fingertips  

Afro-Asian Journal of Finance and Accounting

2008 - 2022

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

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 12, issue 1, 2022

Modelling the recovery of Indian banks under prompt corrective action framework: TOPSIS methodology pp. 1-27 Downloads
K.C. Arora and L. Ramani
How price informativeness affects the sensitivity of investment-to-stock price in Vietnamese listed firms pp. 28-61 Downloads
Quynh Trang Phan and Poomthan Rangkakulnuwat
Market anomalies and investor behaviour pp. 62-81 Downloads
Aditya Sharma, Arya Kumar and Arun Kumar Vaish
Impact of audit committee attributes on financial reporting quality and timeliness: an empirical study pp. 82-104 Downloads
Ben Kwame Agyei-Mensah
The effect of cash flow information asymmetry criteria on conservatism in Iran pp. 105-128 Downloads
Mahdi Salehi and Horta Azimi
Home bias and return chasing by foreign portfolio investors: evidence from selected Sub-Saharan African markets pp. 129-142 Downloads
Rihanat I. Abdulkadir

Volume 11, issue 5, 2021

Fiscal budget deficit and the emerging capital markets in West African countries pp. 647-671 Downloads
Samson Edo and Henry Okodua
Dividend policy and stock price: evidence from Vietnam pp. 672-690 Downloads
Dinh Bao Ngoc and Nguyen Chi Cuong
How debt maturity reacts to the interactions of internal corporate governance mechanisms pp. 691-717 Downloads
Hanan Alhussayen, Ridha Shabou and Imed Medhioub
Adjusting the consumption-based capital asset pricing model by the estimate bid-ask spreads based on daily highest and lowest prices in Iran pp. 718-739 Downloads
Sedighe Alizadeh, Mohammad Nabi Shahiki Tash and Reza Roshan
Idiosyncratic volatility and average stock returns: evidence from Sri Lanka pp. 740-754 Downloads
H.A.P.K. Perera and Tharindu Chamara Ediriwickrama
Loan loss provisions, earnings management, capital management, and signalling: the case of Vietnamese banks pp. 755-771 Downloads
Tu D.Q. Le, Liem T. Nguyen and Son H. Tran
Indian government bonds sensitivity to macroeconomic and non-macroeconomic factors: a quantile regression approach pp. 772-786 Downloads
Muhammadriyaj Faniband

Volume 11, issue 4, 2021

Does earnings management impact firm performance? Empirical evidence from India pp. 471-489 Downloads
Sunil Kumar, Nikhil Kaushik and Ashutosh Verma
International financial reporting standards adoption and accounting quality: evidence from Ghanaian listed firms pp. 490-517 Downloads
Benjamin Yeboah and Cláudio Pais
Financial restructuring of firms under weak bankruptcy laws - an Indian experience pp. 518-536 Downloads
Smita Mazumdar and Anupam Rastogi
Asymmetric nonlinear analyses of banking sector behaviour, markets and interest rate risks in Africa's frontier economy pp. 537-560 Downloads
Augustine C. Arize, Ebere Ume Kalu, John Malindretos and Asli Ogunc
Do demand curves for stocks slope down? - new evidence from a unique event in India pp. 561-582 Downloads
Srikanth Parthasarathy
Determinants of intellectual capital performance in banks: empirical insights from an emerging market pp. 583-606 Downloads
King Carl Tornam Duho and Joseph Mensah Onumah
An analysis of pricing efficiency of exchange traded funds in India using ARDL bounds test approach pp. 607-633 Downloads
Buvanesh Chandrasekaran and Rajesh H. Acharya
Does fund managers' timing ability depend on market conditions? Evidence from Turkish variable funds pp. 634-646 Downloads
Hale Yalcin and Sema Dube

Volume 11, issue 3, 2021

Corporate governance and economic growth in Sub-Saharan Africa pp. 309-336 Downloads
Alexander Maune
Impact of corporate governance on dividend policy in India pp. 337-352 Downloads
Pankaj Chaudhary and Narain Chandra
The influence of foreign currency earnings and foreign capital on earnings management pp. 353-375 Downloads
Kameshwar Rao V.S. Modekurti and K. Lubza Nihar
Macro determinants of stock market volatility: evidence from Middle East region pp. 376-391 Downloads
Mahmoud Abdelaziz Touny, Mostafa Ahmed Radwan and Mahmoud M. Hussein Alayis
On the impact of sentiment on stock returns: the case of Dhaka Stock Exchange pp. 392-422 Downloads
Shah Saeed Hassan Chowdhury, Rashida Sharmin and M. Arifur Rahman
Corporate board monitoring, political connection and real earnings management practice in Nigeria pp. 423-446 Downloads
Armaya'u Alhaji Sani, Rohaida Abdul Latif and Redhwan Al-Dhamari
Enhancing internal auditors' risk assessment through governance and cognition: an Egyptian perspective pp. 447-469 Downloads
Sara Hussein Sabry and Ismail Ibrahim Gomaa

Volume 11, issue 2, 2021

Audit committee and financial reporting quality: the mediating effect of audit price in Nigeria pp. 167-197 Downloads
Hussaini Bala, Noor Afza Amran and Hasnah Shaari
The effect of financial leverage on banks' performance: empirical evidence from a frontier market - the Amman Stock Exchange pp. 198-221 Downloads
Ahmad Abu-Alkheil, Mohammad Alomari and Balkis Set-Abouha
Managerial entrenchment hypothesis and dividend payout policy pp. 222-236 Downloads
Raheel Gohar and Ayesha Rashid
Factors influencing the application of fair value of Vietnamese enterprises: an extension study of the theory of planned behaviour pp. 237-265 Downloads
Nguyen Ngoc Lan, Vu Thi Kim Anh and Nguyen Thi Thanh Phuong
The effect of tax and economic freedom on capital investment and foreign direct investment: empirical evidence from a panel of countries around the world pp. 266-289 Downloads
Rana Albahsh
Impact of crude oil price shocks on industrial output, inflation and exchange rate: evidence from five emerging Asian economies pp. 290-308 Downloads
Shekhar Mishra, Naliniprava Tripathy and Sathya Swaroop Debasish

Volume 11, issue 1, 2021

What explains the investment decision-making behaviour? The role of financial literacy and financial risk tolerance pp. 1-19 Downloads
Zaheer Ahmed, Umara Noreen, Suresh A.L. Ramakrishnan and Dewi Fariha Binti Abdullah
Infrastructure-FDI nexus in Nigeria: insights from nonlinear threshold regression model pp. 20-34 Downloads
Md. Mahmudul Haque, Mohammad Ashraful Ferdous Chowdhury, Mohammad Hassan Shakil and Mansur Masih
Certification role of transparency and anchor investors in Indian IPOs pp. 35-63 Downloads
Sweta Agarwal
On the robustness of the Fama-French three-factor and the Carhart four-factor models on the Amman Stock Exchange pp. 64-80 Downloads
Mohammad Q.M. Momani
The nexus between reducing audit report lags and divining integrated financial report governance disclosures: should ASE directives be more conspicuous? pp. 81-103 Downloads
Madher E. Hamdallah, Anan F. Srouji and Suzan R. Abed
Risk governance and firm value: exploring the hierarchical regression method pp. 104-130 Downloads
Olayinka Erin and Foluso Aribaba
Active trading strategies based on momentum and term structure signals in commodity futures market: evidence from India pp. 131-150 Downloads
Ritika Jaiswal
Tax incentives and industrial productivity: evidence from Nigeria pp. 151-165 Downloads
Folarin Alayande

Volume 10, issue 4, 2020

The effect of audit committee characteristics on earnings management: the case of Indonesia pp. 447-463 Downloads
Doddy Setiawan, Lian Kee Phua, Hong Kok Chee and Irwan Trinugroho
Relationship between debt maturity and IPO: the case of Indonesian firms pp. 464-479 Downloads
Sarah Aulia Andriana and Yunieta Anny Nainggolan
Investigation on leveraging effect of women directors on board to R%D investment and firms' financial performance in the context of developing countries: evidence from Indonesia pp. 480-493 Downloads
Sita Deliyana Firmialy and Akbar Adhiutama
Should Indonesia adopt a basket currency regime? pp. 494-513 Downloads
Ahmad Prasetyo, Camelia Magdalena, Brian Charvia and Mandra Lazuardi Kitri
Macroprudential policy and financing behaviour in emerging markets: bank-level evidence from Indonesian dual banking pp. 514-536 Downloads
Muhamed Zulkhibri and Muhammad Rizky Prima Sakti
Day of the week effect anomaly in Dhaka Stock Exchange post crisis period: evidence from Bangladesh capital market pp. 537-553 Downloads
Md Arafat Hossain and Vahid Biglari
Analysing the stability of bankruptcy prediction models pp. 554-568 Downloads
Rohani Md-Rus, Kamarun Nisham Taufil Mohd and Rohaida Abdul Latif
The effect of dividend payouts on future earnings pp. 569-583 Downloads
Gizelle D. Willows, Lawrence W.K. Ho and Darron West
Operating performance and earnings management in Egypt pp. 584-605 Downloads
Wael Mostafa

Volume 10, issue 3, 2020

Value relevance of reported financials of NSE listed companies pp. 295-319 Downloads
Mwila J. Mulenga and Meena Bhatia
The impacts of public investment on return and economic growth by economic industry in Vietnam pp. 320-340 Downloads
Nguyen Thi Canh and Nguyen Thi Thuy Lien
Board attributes and voluntary disclosure in an emerging economy: evidence from Nigeria pp. 341-363 Downloads
Robert W. Odewale
The stability of money demand in India in the post reform period: an empirical analysis pp. 364-379 Downloads
Mohammad Asif and Rana Afreen
Factors that drive dividend payout decisions: an investigation in the context of Bangladesh pp. 380-408 Downloads
Afrin Rifat, Anika Bushra and Nabila Nisha
Volatility interdependency: a quantile regression analysis in Asian stock markets pp. 409-429 Downloads
Neha Seth and Laxmidhar Panda
Capital structure and profitability in a tax-free country: evidence from the UAE pp. 430-444 Downloads
Imen Tebourbi, Irene Wei Kiong Ting, Qian Long Kweh and Harith Ali Hamood Al Huseini

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
Page updated 2022-05-19