Global Business and Economics Review
1999 - 2025
From Inderscience Enterprises Ltd Bibliographic data for series maintained by Sarah Parker (). Access Statistics for this journal.
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Volume 29, issue 4, 2023
- Does microfinance foster development? A critical review of literature pp. 405-428
- Md. Atiqur Rahman and Salah Uddin Rajib
- Analysing the impact of financial constraints and group affiliation on mode of payment and announcement returns of the Indian acquiring companies pp. 429-451
- Harshika Jain and Reena Nayyar
- Brand's visual identity on social media platforms: a content analysis pp. 452-469
- Harsandaldeep Kaur, Muhammad Tanveer, Haider Mahmood and Kanwal Roop Kaur
- Are broker-sold funds flows sensitive to fund performance or not? Evidence from Indian mutual funds market pp. 470-491
- Dipika and Shveta Singh
- Financial reporting quality, audit quality and idiosyncratic volatility: moderating role of family ownership concentration pp. 492-508
- Afkar Majeed, Rohaida Basiruddin and Salman Khalid
- Investor sentiment and firm characteristics pp. 509-524
- Wafa Hadjmohamed and Abdelfettah Bouri
- Economic freedom and financial performance of microfinance institutions: Asian perspective pp. 525-542
- Faiza Liaqat, Sadia Farooq, Muhammad Usman, Nasira Perveen and Hafiza Muntaha Khalid
Volume 29, issue 3, 2023
- Non-performing loans in Central-East European countries: investigation of macroeconomic, policy, and global risk determinants pp. 265-286
- Agim Kukeli, Robert C. Forrester, Fitim Deari and John E. Martinez
- The announcements of unconventional monetary policies and sovereign bond liquidity premia pp. 287-315
- Tarek Chebbi and Waleed Hmedat
- Financial innovation as a response to crisis - the case of catastrophe bonds pp. 316-331
- Natália Teixeira, Alexandre Correia, Rui Vinhas da Silva, Leandro Pereira and Sérgio Vinhas da Silva
- Impact of social progress on bank stability pp. 332-379
- Abderazak Bakhouche and Teheni El Ghak
- Nexus between credit default swap spreads and foreign exchange rates: evidence from BRICST, E7, MINT and Fragile Five countries pp. 380-403
- Mustafa Tevfik Kartal, Serpil Kılıç Depren and Özer Depren
Volume 29, issue 2, 2023
- Using product space to connect local products to foreign markets: paths for export basket diversification of the Brazilian state of Minas Gerais pp. 133-154
- Otávio Rezende, Marcelo Borges, Josiane Rafaella Faleiro, Leandro Collares and à talo Daldegan de Oliveira
- Efficiency and its determinants of systemically important shadow banks of India pp. 155-180
- Nandita Bhattacharjee and Ambika Pati
- Good governance and financial crises: a global evidence pp. 181-211
- Davoud Mahmoudinia and Behrouz Sadeghi Amroabadi
- Do women use annual reports differently than men? A case of India pp. 212-228
- Meena Bhatia
- Financial conservatism and shareholders' value pp. 229-246
- Ammara Yasmin, Abdul Rashid and Saba Kausar
- Impact of economic transition on the outreach of microfinance sector pp. 247-264
- Samapti Guha and Chandralekha Ghosh
Volume 29, issue 1, 2023
- Determinants of security design in venture capital investment: a study on Indian start-ups pp. 1-15
- Sarita Mishra and Suresh Kumar Sahoo
- The relation between innovation and earnings management: evidence for the UK pp. 16-40
- Yahya Marei, Mohammad Al Bahloul, Adel Almasarwah and Ashraful Alam
- The impact of Facebook and Instagram on the growth of Egyptian MSMEs pp. 41-65
- Hadia Fakhreldin, Mahitab Shahin and Rania Miniesy
- FDI, gender spillovers and firm productivity: the Namibian case pp. 66-106
- Reem El Sherif, Charles Adjasi and Michael Graham
- Fraudulent financial reporting analyses using Beneish model: evidence from Malaysian public companies pp. 107-132
- Nurshamimi Sabli, Rosmini Mohd Aripin, Radziah Mahmud and Roszana Tapsir
Volume 28, issue 4, 2023
- Women directors, CEO duality and board structure: case of Indian firms' capital structure dynamism pp. 347-366
- Pankaj Chaudhary
- Bank capital and liquidity creation: evidence from Sub-Saharan Africa pp. 367-387
- Adamu Yahaya, Fauziah Mahat, Mohammad Saidu and Umar Tijjani Babuga
- Asymmetric stock-bond interrelationships in Islamic markets: EEMD-based frequency-dependent and causality analyses pp. 388-424
- Ahmed Bossman, Peterson Owusu Junior, Anokye Mohamed Adam and Samuel Kwaku Agyei
- Synthesis of the effect of investor sentiment on stock returns: a systematic review pp. 425-446
- Ajit Yadav and Anindita Chakraborty
- Academic footprint of 'financial literacy and financial inclusion': a review and future research agenda pp. 447-468
- Biswajit Prasad Chhatoi, Sharada Prasad Sahoo and Durga Prasad Nayak
Volume 28, issue 3, 2023
- Macroeconomic uncertainty and stock price crash risk: the moderating roles of operating performance and investor sentiment pp. 233-265
- Pei Yin Wong and Yee Peng Chow
- Institutional and geopolitical aspects of bond spreads impacts on corporate capital structure in emerging markets pp. 266-297
- Sylvia Gottschalk and Bertrand Ndang
- The business cycle in Ecuador: an analysis of stylised facts before and after dollarisation pp. 298-317
- Mercy Orellana, Rodrigo Mendieta Muñoz, Santiago Pozo RodrÃguez, SofÃa Vanegas and Joselin Segovia
- Is there a relation between stock markets and climate change? pp. 318-332
- Myeong Hwan Kim and Yongseung Han
- Declining trade interest in Indian commodity derivatives: a survey-based study on cardamom futures contract pp. 333-346
- A.N. Vijayakumar
Volume 28, issue 2, 2023
- The COVID-19 impact on MSME earnings: evidences from Saudi Arabia pp. 118-133
- Ahmad T. Al-Harbi and Moid U. Ahmad
- Performance of the African stock market amid COVID-19 global health crisis: empirical analysis using four events pp. 134-154
- Richard Danquah, Samuel Kortu Nelson, Chiamaka Nneoma Nweze, Peter Davis Sumo, Lydia Osarfo Achaa and Ishmael Arhin
- Contagion or interdependence? Evidence from Asian emerging stock markets in times of COVID-19 pandemic pp. 155-174
- Bhaskar Bagchi, Raktim Ghosh and Avijit Kanrar
- COVID-19 pandemic: revisiting the safe haven assets pp. 175-194
- Musa C. Dasauki, Olusola B. Oluwalaiye, Jerry D. Kwarbai and Jesudara E. Oyesiji
- Investigation of cointegration and causal linkages on Bitcoin volatility during COVID-19 pandemic pp. 195-217
- Tiffani, Ingrid Claudia Calvilus and Shinta Amalina Hazrati Havidz
- COVID-19 and negative oil prices – an empirical analysis comparing importing and exporting countries pp. 218-232
- Muhammad Umar, Joaquim António Martins Ferrão and Mário Nuno Mata
Volume 28, issue 1, 2023
- Assessing the internal auditors' readiness for digital transformation pp. 1-21
- Nadta Saengsith and Phassawan Suntraruk
- Dividend policy under the influence of corporate governance quality: an empirical analysis from Asian emerging markets pp. 22-38
- Um-E-Roman Fayyaz, Michelina Venditti and Raja Nabeel-Ud-Din Jalal
- Financial performance and corporate risk disclosure: the moderating impact of board structure pp. 39-61
- Ridhima Saggar, Nischay Arora and Balwinder Singh
- Relationship between investor sentiment and stock returns: a bibliometric analysis using SCOPUS database pp. 62-90
- Ajit Yadav and Anindita Chakraborty
- Imposing zakat on cryptocurrency (Bitcoin): a Shariah appraisal pp. 91-111
- Muhammad Ikhlas Rosele, Abdul Muneem, Azizi Bin Che Seman, Luqman Haji Abdullah, Noor Naemah Abdul Rahman, Mohd Edil Abd Sukor and Abdul Karim Ali
Volume 27, issue 4, 2022
- The trajectory of the SRI fund industry in Brazil pp. 393-405
- Jessica Sardinha Siqueira Barroso and Elaine Aparecida Araujo
- Impact of corporate governance on working capital management: an empirical investigation from India pp. 406-428
- Najib H.S. Farhan, Faozi A. Almaqtari, Mamdouh Abdulaziz Sa Al-Faryan and Mosab I. Tabash
- Exploring whistle-blowing intentions of employees working in the Indian banking sector pp. 429-450
- Narendra Singh Chaudhary and Kriti Priya Gupta
- Coffee shop visiting during the pandemic: moderating effects of process and physical evidence pp. 451-474
- Hiroko Oe, Yasuyuki Yamaoka and Krittin Buasin
- Corporate governance mechanisms and banking performance pp. 475-491
- Meriem Jouirou and Fathi Jouini
- Corporate social responsibility disclosure: a study on NIFTY 100 companies pp. 492-515
- Ritika Gupta and Pankaj Kumar
Volume 27, issue 3, 2022
- Financial analyst coverage and tax avoidance: evidence from the UK pp. 253-267
- Mohammad Issa Almaharmeh, Ali A. Shehadeh and Mohammad Aladwan
- Leverage and firm characteristics what matter? Data from the Indonesian Stock Exchange pp. 268-280
- Puji Handayati, Cipto Wardoyo, Lioni Indrayani and Yohanes Indrayono
- Effect of consumers' perceived risk on relationship marketing for m-shopping in India: the moderated mediation role of demonetisation pp. 281-302
- Ishfaq Hussain Bhat and Shilpi Gupta
- The effect of capital structure on banking performance: a meta-analytical approach pp. 303-323
- Houda BenMabrouk and Ikbel BenAbdessalem
- Systematic review on performance and growth drivers of SMEs pp. 324-351
- Mokhalles M. Mehdi and Tridib Ranjan Sarma
- A closer look at industry-associated value premium: evidence from India pp. 352-392
- Bhumiswor Sharma, P. Srikanth and Mareena Mathew
Volume 27, issue 2, 2022
- ESG disclosure and the role of CEO narcissism on firm value: the case of ASEAN-5 pp. 133-148
- Laila Jahidatul Falah and Aria Farah Mita
- Changes of working capital management and firm value in Thailand and Singapore pp. 149-166
- Mohd Ashhari Zariyawati and Hossain Mohammad Reyad
- Evaluating the effects of formal and informal institutional on multinational enterprises working in Saudi Arabia pp. 167-191
- Nasser Alshareef
- Does financial deepening matter for economic growth in Asian economies? Fresh evidence from panel threshold analysis pp. 192-208
- Suman Dahiya
- Modified ratios and the cyclically adjusted price-earnings ratio pp. 209-231
- Catherine Georgiou, Ioannis Neokosmidis and Vassilis Polimenis
- Household saving culture and financial literacy in case of Wolaita Zone, Ethiopia pp. 232-251
- Mulat Goshu Gebeyehu
Volume 27, issue 1, 2022
- A study of the tweets of successful investors in order to identify their personality pp. 1-19
- R. Ramprakash and C. Joe Arun
- The impact of expectations on the co-integration relationship between the stock and REIT markets pp. 20-42
- Umit Erol, Aydin Yuksel, Asli Yuksel and Hakki Ozturk
- How volatility affects the behaviour of institutional investors in emerging markets pp. 43-71
- Purwa Srivastava and Sakshi Varshney
- The policy of dividend variability of companies listed on the West African regional stock exchange: between predictability, retention and stability pp. 72-95
- Pourakin Djarius Dieudonné Bama
- Effects of leadership styles and motivational factors on worker engagement: an empirical study on the ready-made garments industry in Bangladesh pp. 96-115
- Dalowar Hossan, Zuraina Dato' Mansor, Mohammad Abdullah Al Mamun, Abu Naser Mohammad Saif and Amer Hamzah Jantan
- Stock price synchronicity and stock liquidity in an emerging market pp. 116-132
- Pankaj Chaudhary
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