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Afro-Asian Journal of Finance and Accounting

2008 - 2019

From Inderscience Enterprises Ltd
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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

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 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
Page updated 2019-02-19