American Journal of Finance and Accounting
2008 - 2024
From Inderscience Enterprises Ltd Bibliographic data for series maintained by Sarah Parker (). Access Statistics for this journal.
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Volume 3, issue 2/3/4, 2014
- Capital structure choice: a case study on New Zealand's unlisted firms pp. 93-108

- Nirosha Wellalage and Stuart Locke
- Institutional ownership, liquidity and firm performance pp. 109-127

- Khemaies Bougatef and Sahbi Missaoui
- The effect of governance mechanisms on the quality of risk disclosure: using bootstrap techniques pp. 128-151

- Gehan A. Mousa and Elsayed A.H. Elamir
- The Halloween effect: an alternative approach and new evidence from the US market pp. 152-171

- Athanasios Tsagkanos and Paris Zachouris
- Spillover effects between US and major European stock markets pp. 172-184

- Hussein Ali Al-Zeaud
- Stock market development, banks and firms growth: empirical evidence from Saudi Arabia pp. 185-216

- Najeb Masoud and Glenn Hardaker
- Are major global stock markets efficient? An application of the martingale difference hypothesis with wild bootstrap pp. 217-233

- Dilip Kumar and Srinivasan Maheswaran
Volume 3, issue 1, 2013
- Comparative performance of Islamic and conventional banks in Europe pp. 1-23

- Ahmad M. Abu-Alkheil, Hans-Peter Burghof and Walayet A. Khan
- Oil price volatility and the dynamic systematic risk in Kuwait's equity sector portfolio using the Kalman filter approach pp. 24-40

- Abdulwahab A. Alsarhan, Ahmed Khalifa and Omar Al-Titi
- Initial public offerings and investor heterogeneity: evidence from Malaysia pp. 41-56

- Soo-Wah Low and Othman Yong
- Risk premiums over varying market conditions pp. 57-76

- Praveen K. Das
- ERP system integrated accounting course: an analysis of students' viewpoints pp. 77-92

- Yunus Kishali, Hari Sharma and Rakesh Gupta
Volume 2, issue 4, 2012
- Bridging the environmental accounting gap between the accounting and economics disciplines pp. 297-310

- Rosmini Ismail, Vicky Forgie and Khalizul Khalid
- Challenges and trends of debt capital raising by SME: experience of the Baltic States pp. 311-325

- Elvīra Zelgalve and Inna Romānova;
- Macroeconomic factors and conditional bond volatility: evidence from emerging and developed bond markets pp. 326-345

- Karthika S. Nair and M. Thenmozhi
- Causal effect of volume on stock returns and conditional volatility in developed and emerging market pp. 346-362

- Manish Kumar and M. Thenmozhi
- Oil price and stock market index in exporting and importing countries: evidence from MENA pp. 363-379

- Hussein Mohammad Salameh, Bashar Al-Zu'bi;, Khaled Abdelal Al-Zubi and Ihab Khaled Magableh
Volume 2, issue 3, 2011
- The value relevance of discretionary loan loss disclosures for Saudi banks pp. 209-218

- Haider H. Madani
- Wealth effects and financial performance of cross-border mergers and acquisitions in five East Asian countries pp. 219-240

- Saw-Imm Song, Dorothy Chiok Choo Kueh, Rashidah Abdul Rahman and Ei Yet Chu
- An empirical investigation of the link between market share and valuation of earnings and growth opportunities pp. 241-261

- Steven Swirsky and Mazhar M. Islam
- The economic impact of mergers and acquisitions in Greece: lessons from a comparative analysis regarding western economies pp. 262-295

- Ioannis A. Tampakoudis, Demetres N. Subeniotis and Iordanis M. Eleftheriadis
Volume 2, issue 2, 2010
- An analysis of audit fee premiums of the merged audit firm in Malaysia pp. 95-118

- Mohd-Mohid Rahmat, Takiah Mohd Iskandar and Mohammad Noor Hisham Osman
- Are exchange-traded funds effective instruments to invest in Islamic markets? Early evidence from Dow Jones DJIM Turkey ETF pp. 119-142

- Onur Gozbasi and Ekrem Erdem
- Evaluating company's performance using multiple discriminant analysis: the case of Shariah compliance companies pp. 143-154

- Nuradli Ridzwan Shah Mohd Dali, Hamdi Hakeim Mudasir and Suhaila Abdul Hamid
- Searching for seasonal patterns in exchange traded funds' trading characteristics pp. 155-180

- Gerasimos G. Rompotis
- Bank efficiency, profitability and equity capital: evidence from developing countries pp. 181-195

- Sok-Gee Chan and Mohd Karim
- Cash-out vs. cash-in refinancings: their dynamic relationships with stock market and real estate factors pp. 196-207

- Ling T. He and K. Michael Casey
Volume 2, issue 1, 2010
- Corporate governance and foreign direct investment inflows: cross-sectional international evidence pp. 1-15

- Omar Al Farooque and Subba Reddy Yarram
- Intellectual capital and the creation of value in Latvian banking sector: panel data analysis pp. 16-32

- Nellija Titova
- The impact of exchange rate misalignment on portfolio inflows in Malaysia pp. 33-52

- Noor Zahirah Mohd Sidek and Mohammed B. Yusoff
- Evidence on the volatility of Indian and Japanese stock markets pp. 53-64

- Tarika Singh, Seema Mehta and Deepali Gupta
- The relation between performance-based budgeting and activity-based budgeting pp. 65-74

- Hamidrez Vakilifard, Mehdi Zeynali and Rahmatollah Mohammadipour
- The effects of ownership structure on asset restructuring performance pp. 75-93

- Norazlan Alias, Fauzias Mat Nor and Mohd Hasimi Yaacob
Volume 1, issue 4, 2009
- Constructing an alternative dollar index to gauge the movements in currency markets pp. 345-362

- Musa Essayyad, Khaled Albinali, Omar Al-Titi and Mary Jane Sauceda
- Procurement strategy role in the performance of public limited and private limited companies pp. 363-375

- Haim Hilman Abdullah and Zainal Abidin Mohamed
- How bad is bad news? Assessing the effects of environmental incidents on firm value pp. 376-392

- Tommy Lundgren and Rickard Olsson
- The price discovery process in credit derivative market: evidence from sovereign CDS market pp. 393-407

- Nan Li
- Effects of Basel II standards on small-medium size enterprises: evidence from the Istanbul Stock Exchange pp. 408-431

- Mustafa Yılmaz and Ali Kucukcolak
Volume 1, issue 3, 2009
- The impact of off-balance sheet items on banks' total factor productivity: empirical evidence from the Chinese banking sector pp. 213-238

- Fadzlan Sufian
- Multiple objectives in portfolio construction pp. 239-255

- Panagiotis Xidonas, George Mavrotas, Dimitrios Askounis and John Psarras
- Technical efficiency and its determinants in the Indian domestic banking industry: an application of DEA and Tobit analysis pp. 256-296

- Sunil Kumar and Rachita Gulati
- Demand for international reserves: evidence from East Asia pp. 297-311

- Eliza Nor, M Azali and Siong Hook Law
- The effect of the prolonged bull market on the market response to large and small stock distributions pp. 312-333

- Dean Crawford, Diana R. Franz and Gerald J. Lobo
- Effects of political crises on cointegration between ASEAN-5 stock markets and the US stock market pp. 334-343

- Reza Tajaddini, Zamri Ahmad and Tajul Ariffin Masron
Volume 1, issue 2, 2008
- Effect of institutional factors on stock market development in Asia pp. 103-120

- Azmat Gani and Christopher Ngassam
- Measurement of financial leverage in the presence of environmental liabilities relating to Superfund sites pp. 121-138

- Benjamin B. Bae and Mahdy F. Elhusseiny
- Valuation models and their efficacy in predicting stock prices pp. 139-151

- Reza Rahgozar
- An examination of technical, pure technical and scale efficiencies in GCC banking pp. 152-166

- Saeed Al-Muharrami
- The predictive ability of accounting operating cash flows: a moving window spectral analysis pp. 167-193

- Dennis Ridley, Willie Gist, Dennis Duke and James C. Flagg
- Wealth effects of Canadian financial services takeovers: consolidation, diversification and foreign evidence pp. 194-212

- Alex Ng
Volume 1, issue 1, 2008
- Do retail options traders know better about market volatility? pp. 1-19

- Cheny Chen, Ming-Hua Liu and Hoa Nguyen
- A new online method for event detection and tracking: empirical evidence from the French stock market pp. 20-51

- Mohamed Saidane and Christian Lavergne
- The global and regional factors in the volatility of emerging sovereign bond markets pp. 52-68

- Thanh Huong Dinh and Duc Khuong Nguyen
- The effect of taxes on small banks' loan loss provisions pp. 69-86

- B. Anthony Billings and Buagu Musazi
- The effects of local and global risk factors on the S&P 500 stock returns: an empirical investigation pp. 87-101

- Mahdy F. Elhusseiny and Mazhar M. Islam
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