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Afro-Asian Journal of Finance and Accounting

2008 - 2024

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

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Volume 14, issue 3, 2024

Impact of efficiency and ownership concentration in Indian banks on their NPAs: a panel data analysis pp. 317-338 Downloads
Jagjeevan Kanoujiya and Shailesh Rastogi
The nexus between liquidity and lottery-like features: evidence from Tehran stock exchange pp. 339-349 Downloads
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 Downloads
Noor Saif Muhammad Mussafi, Zuhaimy Ismail and Nur Arina Bazilah Aziz
Firm attributes and discretionary disclosures of financial institutions in Nigeria pp. 372-392 Downloads
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 Downloads
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 Downloads
T. Mohanasundaram, M. Rizwana, S. Sathyanarayana and Padmalini Singh
Shareholder identity and real earnings management: empirical evidence from Vietnam pp. 432-450 Downloads
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 Downloads
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 Downloads
Adamu Yahaya, Fauziah Mahat and Aliyu Mamman
Islamic religiosity and corporate capital structure: evidence from Malaysia pp. 192-228 Downloads
Yee Peng Chow
Deposits and financial sustainability of deposit-taking microfinance institutions: evidence from low income Sub-Saharan Africa pp. 229-245 Downloads
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 Downloads
Mohamed Amin Chakroun and Mohamed Imen Gallali
The nexus between free cash flow, audit committee characteristics, and earnings management practices pp. 281-296 Downloads
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 Downloads
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 Downloads
Atanas Sixpence, Olufemi Patrick Adeyeye and Rajendra Rajaram
Explanatory power of realised moments pp. 22-42 Downloads
Seema Rehman, Saqib Sharif and Wali Ullah
Financial frictions and stabilisation policies pp. 43-82 Downloads
Saira Tufail and Ather Maqsood Ahmed
The relationship between implied volatility and equity returns in South Africa pp. 83-99 Downloads
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 Downloads
Hanna'a Shehada, Mohammed Alashi, Hisham Madi and Maher Durgham
Developing of an asset/liability allocation model for banks pp. 115-141 Downloads
Mohsen Mohammadloo, Nasser Motahari Farimani, Mehdi Feizi and Mohammadali Pirayesh

Volume 13, issue 6, 2023

Predictive ability of operating cash flow and earnings on future cash flow of NSE-listed firms pp. 693-713 Downloads
Mwila J. Mulenga and Meena Bhatia
Use of information sources, annual reports and other corporate announcements: the case of large and small investors of India pp. 714-734 Downloads
Meena Bhatia
Auditor choice, audit partner busyness, and sustainability reporting quality pp. 735-758 Downloads
Moses Elaigwu, Ayoib Che-Ahmad and Salau Olarinoye Abdulmalik
Factors affecting CEO compensation: an empirical investigation from emerging markets pp. 759-779 Downloads
Gehan A. Mousa
Internecine interrelations among liquidity risk, market risk and credit risk in Indian banking system pp. 780-797 Downloads
Satya Krishna Sharma Raavinuthala, Girish Jain and Pratap Chandra Biswal
Cross-border merger impact on wealth of acquirers: evidence from emerging nation pp. 798-818 Downloads
Sweta Agarwal and Anubhav Jain
Forecasting volatility of Saudi stock market (TASI) and sectoral indices pp. 819-842 Downloads
Sunitha Kumaran

Volume 13, issue 5, 2023

Extending theory of planned behaviour for predicting investment intention of millennials by including risk-taking propensity pp. 551-573 Downloads
Shikha Bhatia and Nidhi Singh
The long-run performance of initial public offerings: evidence from a transition economy pp. 574-591 Downloads
Nguyen Van Tan and Ninh Thi Trang
Investigating accrual and real earnings management of financially troubled Indian firms pp. 592-611 Downloads
Sweta Tiwari and Chanchal Chatterjee
Branch banking variability and rural banks' performance: a GMM approach pp. 612-628 Downloads
Haruna Maama and Emmanuel Okofo-Dartey
Modelling the real exchange rate misalignment in the presence of outliers for developing countries pp. 629-650 Downloads
Ridha Ettbib and Mansour Eddaly
Volatility dynamics of Tunisian stock market before and during COVID-19 outbreak and diversification benefits of Bitcoin pp. 651-672 Downloads
Marwa Ben Salem, Mohamed Fakhfekh and Ahmed Jeribi
Do data mining techniques assist auditors in predicting high-risk accounts in MENA Region countries? pp. 673-692 Downloads
Wafaa Salah Mohamed, Lamiaa Fattouh Ibrahim and Moid Uddin Ahmad

Volume 13, issue 4, 2023

Impact of cash conversion cycle on financial performance: an empirical study of listed companies in Botswana pp. 415-433 Downloads
C.R. Sathyamoorthi, Christian John Mbekomize and Lame Bakwenabatsile
The relationship between tax revenue and economic growth: an empirical study in Vietnam pp. 434-451 Downloads
My-Linh Thi Nguyen, Nga Phan Thi Hang, Toan Ngoc Bui, Hoai Thu Ho and Tung Duy Thai
Seasonality in Gulf Cooperation Council stock markets pp. 452-466 Downloads
Turki Alshammari
Mean reversals and stock market overreactions: further evidence from India pp. 467-477 Downloads
T.G. Saji
Evaluating the sources of productivity of insurance firms in Arab gulf countries and Jordan: Malmquist productivity index pp. 478-501 Downloads
Abderazak Bakhouche, Eman Zabalawi and Mohamed Lotfi Boulkeroua
Sentiment and stock returns: aggregate and cross-sectional analysis from Pakistan pp. 502-527 Downloads
Sana Tauseef and Hira Suman
Earnings management and ownership type in microfinance institutions: an international evidence pp. 528-549 Downloads
Naima Lassoued

Volume 13, issue 3, 2023

Loan loss provision practices during economic crises: evidence from banks listed on the Damascus Securities Exchange pp. 277-304 Downloads
Layla A. Ashoor, Linda Ismaiel and Zeina Al-Ahmad
Market reaction to the annual cash dividend changes in Pakistan pp. 305-319 Downloads
Sana Tauseef
Impact of institutional quality on firms' debt maturity in developing nations pp. 320-339 Downloads
Bolaji Tunde Matemilola, A.N. Bany-Ariffin and Gbemisola Adeoye
How COVID-19 pandemic and oil prices drive the Saudi sectors over investment horizons: a wavelet sector-based view pp. 340-368 Downloads
Chaker Aloui, Sharif Arshian and Noshaba Aziz
Adherence level to materiality in stand-alone GRI sustainability reporting in Arab nations: does listing status matter? pp. 369-398 Downloads
Krayyem Al-Hajaya
Drivers of shareholder value: evidence from an emerging market pp. 399-414 Downloads
Samuel Buertey

Volume 13, issue 2, 2023

Investment approach, predictability and mediating effect of the market profitability index on investor sentiment on the West African Regional Stock Exchange pp. 147-173 Downloads
Pourakin Djarius Dieudonné Bama
Do earnings quality models affect different excess cash holdings models? pp. 174-191 Downloads
Mohammed M. Yassin and Saja A. Al-Kasasbeh
Social performance reporting in the Indian banking sector - exploring linkage with financial performance pp. 192-209 Downloads
Parul Munjal, P. Malarvizhi and Deergha Sharma
Extreme value volatility estimators and realised volatility of stock prices in Amman Stock Exchange pp. 210-224 Downloads
Dima Waleed Hanna Alrabadi and Duha Ali Al-Barakat
The mediating effect of financial reporting quality on corporate governance effectiveness and cost of debt pp. 225-252 Downloads
Muneer Rajab Amrah, Hafiza Aishah Hashim and Lutfi Hassen Ali Al-Ttaffi
Influencing factors for internal audit effectiveness in the Indian context pp. 253-276 Downloads
Prem Lal Joshi and Govindan Marthandan

Volume 13, issue 1, 2023

Did the public company oversight board's restrictions on auditor-provided tax services reduce companies' tax avoidance? pp. 1-21 Downloads
Mahmoud Ahmed
Banking sector intermediation and economic growth: new evidence from CEMAC countries pp. 22-40 Downloads
Pierre Axel Louembé, Man Wang and Dilesha Nawadali Rathnayake
The effect of credit rating announcements on stock returns of banks in India pp. 41-53 Downloads
Silky Vigg Kushwah and C.A. Manav Vigg
Women participation in corporate boards: quantile regression approach pp. 54-67 Downloads
Akshita Arora and Tarun Kumar Soni
Rational speculative bubbles in the stock market - the case of Amman Stock Exchange pp. 68-84 Downloads
Usama Adnan Fendi, Bassam Mohammad Maali and Muhannad Ahamd Atmeh
Default prediction for audited and unaudited private firms under economic and financial stress: evidence from Zimbabwe pp. 85-124 Downloads
Frank Ranganai Matenda, Mabutho Sibanda, Eriyoti Chikodza and Victor Gumbo
A longitudinal investigation of IFRS-8 implementation: evidence from Qatar pp. 125-145 Downloads
Ghassan H. Mardini, Amneh Alkurdi and Ahmed Hassan Ahmed
Page updated 2024-05-14