Afro-Asian Journal of Finance and Accounting
2008 - 2025
 From Inderscience Enterprises Ltd Bibliographic data for series maintained by Sarah Parker (). Access Statistics for this journal.
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Volume 6, issue 4, 2016
 
  - Asset growth and the cross section of stock returns - evidence from Vietnam   pp. 289-304 
  
  - Xuan Vinh Vo and Hong Thu Bui
 
  - Cash holdings and corporate governance: an empirical study on Malaysian public listed companies   pp. 305-317 
  
  - 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 
  
  - Sun-Wung Hwang and Yu Rim Jung
 
  - Return predictability in emerging markets during a unique market condition   pp. 339-350 
  
  - Sami Al Kharusi and Robert O. Weagley
 
  - Share price behaviour around dividend announcements in Pakistan   pp. 351-373 
  
  - 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 
  
  - Khalid Almeshal and Nader Naifar
 
 Volume 6, issue 3, 2016
 
  - Finance in Vietnam - an overview   pp. 202-209 
  
  - Xuan Vinh Vo
 
  - Key determinants of inflation and monetary policy in the emerging markets: evidence from Vietnam   pp. 210-223 
  
  - Mohammed Elgammal and Mohamed Abdelaziz Eissa
 
  - Testing the existence of transfer pricing in Vietnam   pp. 224-240 
  
  - Nguyen Khac Quoc Bao, Nguyen Huu Huy Nhut and Nguyen Dinh Tri
 
  - Accessibility to credit of small medium enterprises in Vietnam   pp. 241-257 
  
  - 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 
  
  - Quoc Hoi Le
 
  - The influence of corporate governance on corporate performance: evidence from Palestine   pp. 269-287 
  
  - 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 
  
  - Abdur Rafik and I. Wayan Nuka Lantara
 
  - Impacts of the US monetary policy on the Vietnamese stock market   pp. 119-134 
  
  - Xuan Vinh Vo and Canh Nguyen
 
  - Determinants of compliance and disclosure requirements by top listed companies under Malaysian Code of Corporate Governance (2012)   pp. 135-159 
  
  - 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 
  
  - 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 
  
  - Hisham Al Refai and Mohamed Abdelaziz Eissa
 
 Volume 6, issue 1, 2016
 
  - Foreign ownership and stock market liquidity - evidence from Vietnam   pp. 1-11 
  
  - Xuan Vinh Vo
 
  - Does family group affiliation matter in CSR reporting? Evidence from Yemen   pp. 12-30 
  
  - 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 
  
  - 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 
  
  - Nevi Danila and Chia-Hsing Huang
 
  - Signalling by IPO grading: an empirical investigation   pp. 68-85 
  
  - 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 
  
  - Nadarajah Sivathaasan and Kosgolla Anura Udayakumara
 
  - Market efficiency in developed and emerging markets   pp. 311-333 
  
  - Ankit Sharma and Keyur Thaker
 
  - A new proxy for investor sentiment: evidence from an emerging market   pp. 334-343 
  
  - Dima Waleed Hanna Alrabadi
 
  - Foreign direct investment and economic growth: empirical evidence from India   pp. 344-355 
  
  - 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 
  
  - 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 
  
  - Mohamed Jalloh
 
  - Earnings attributes and the cost of equity capital: the case of Tunisian companies   pp. 216-230 
  
  - Saber Sebai, Messai Mohamed and Fathi Jouini
 
  - Debt maturity, financial crisis and corporate performance in GCC countries: a dynamic-GMM approach   pp. 231-247 
  
  - Rami Zeitun and Munshi Haq
 
  - Islamic versus conventional banks: a comparative analysis on capital structure   pp. 248-264 
  
  - Amel Belanès
 
  - Is there a shift in the accounting values in Egypt towards optimism, transparency and professionalism?   pp. 265-294 
  
  - Ahmed Abousamak and Hany Kamel
 
 Volume 5, issue 2, 2015
 
  - The day of the week effect: evidence from India   pp. 99-112 
  
  - Tariq Aziz and Valeed Ahmad Ansari
 
  - Liquidity and bank profitability in WAEMU zone: a panel data analysis   pp. 113-134 
  
  - 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 
  
  - Sarra Elleuch Hamza and Sondos Bannouri
 
  - Volatility forecasting and risk management in some MENA stock markets: a nonlinear framework   pp. 160-192 
  
  - Chaker Aloui
 
 Volume 5, issue 1, 2015
 
  - Equity capital and bank profitability: evidence from the United Arab Emirates   pp. 1-20 
  
  - Reza H. Chowdhury
 
  - Price and volume effects associated with scheduled changes in constituents of index: study of NIFTY index in India   pp. 21-36 
  
  - Mayank Joshipura and Sundaram Janakiramanan
 
  - Do rated firms outperform non-rated peers in the Gulf Co-operation Council region?   pp. 37-55 
  
  - Etumudon Asien
 
  - Assessing the efficiency of Malaysian banks: a data envelopment analysis approach   pp. 56-69 
  
  - 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 
  
  - Saif-Ur-Rehman Khan, Azlan Ali and Misbah Sadiq
 
 Volume 4, issue 3, 2014
 
  - The association between disclosure level and cost of capital in an emerging market: evidence from Egypt   pp. 203-225 
  
  - Hany Kamel and Tamer Shahwan
 
  - Does lack of timeliness explain low contemporaneous returns-earnings association?   pp. 226-238 
  
  - Jaouida Elleuch Trabelsi
 
  - Assessing the cost of deposit insurance and moral hazard effect: evidence from banking sector in Sudan   pp. 339-348 
  
  - Ibrahim Onour
 
  - Does income moderate between risk aversion, information search behaviour and risky decision-making behaviour of investor? A case from Pakistan   pp. 349-366 
  
  - Hifza Mahmood Rana, Saqib Murtaza, Fareeha Noor and Kashif ur Rehman
 
  - How do investors' subscription rate and pattern affect underpricing? An empirical investigation for Indian IPOs   pp. 367-386 
  
  - Seshadev Sahoo
 
 Volume 4, issue 2, 2014
 
  - Audit quality and cost of equity capital   pp. 95-111 
  
  - Rohaida Basiruddin, Prawat Benyasrisawat and Siti Zaleha Abdul Rasid
 
  - Evolving efficiency of the Saudi Arabian stock market via Shannon entropy approach: a study on sector-based data   pp. 112-140 
  
  - Hela Ben Hamida
 
  - IFRS adoption and the opinion of OHADA accountants   pp. 141-162 
  
  - Saidatou Dicko and Anne Fortin
 
  - Financial sector reforms and economic growth: the West African experience   pp. 163-181 
  
  - Mohamed Jalloh
 
  - Analysing security performance in Morocco and South Africa using CAPM   pp. 182-202 
  
  - William Coffie
 
 Volume 4, issue 1, 2014
 
  - Standardisation of Islamic banking practices: a regulatory perspective   pp. 1-25 
  
  - Muhamed Zulkhibri and Reza Ghazal
 
  - Behavioural factors influencing investment decisions in the Kenyan property market   pp. 26-49 
  
  - Nelson Maina Waweru, Geoffrey Gitau Mwangi and John M. Parkinson
 
  - The effects of second language on ethical judgement in accounting   pp. 50-62 
  
  - Shahriar M. Saadullah, Zaki Abushawish and Rami Zeitun
 
  - Real dividend - stock market price causality nexus: an application of Markov switching model   pp. 63-74 
  
  - Emmanuel Anoruo
 
  - Underpricing, long-run performance and secondary-market liquidity: an empirical examination of Indian IPO market   pp. 75-93 
  
  - Kavita Wadhwa, Sudhakara Reddy Syamala and V. Nagi Reddy
 
 
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