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International Journal of Financial Services Management

2005 - 2022

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

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Volume 4, issue 4, 2010

Challenges in maintaining the regulatory capital requirements pp. 243-259 Downloads
Satish Sharma, John Lavery and Konstantin Polyanskiy
Bank regulation: a controlled incentive for earnings management pp. 260-280 Downloads
Katerina Morphi
Banking system development, small businesses and minority lending in Nigeria pp. 281-297 Downloads
Abel Ezeoha and Kenneth Amaeshi
Efficiency of Indian banks during 1999–2008: a stochastic frontier approach pp. 298-310 Downloads
M. Sreeramulu, Nancy H. Vaz and Sharad Kumar
Efficiency, scale economies and valuation effects: evidence from bank mergers in India pp. 311-337 Downloads
Rudra Sensarma and M. Jayadev
Assessing the effects of the Asian financial crisis on banking performance in Southeast Asia pp. 338-360 Downloads
Catarina Figueira, Panagiotis Andrikopoulos and Ho Yan Tsang

Volume 4, issue 3, 2010

European Union enlargement and equity cost: an empirical analysis on risk sharing and market integration pp. 153-174 Downloads
Haralambos Basdekis
Factors affecting expected stock returns: evidence from the secondary and tertiary sectors of the Athens stock exchange pp. 175-198 Downloads
Panagiotis Artikis, Sotirios G. Vrakas and Eustathia D. Karmi
Towards analysing training needs: a case study in a Greek bank pp. 199-219 Downloads
Evangelia Krassadaki, Nikolaos F. Matsatsinis and Anastasia K. Hanzis
Bankruptcy prediction using auditor size and auditor opinion pp. 220-238 Downloads
Chrysovalantis Gaganis, Pavlos Sochos and Constantin Zopounidis

Volume 4, issue 2, 2010

One-day-ahead value-at-risk estimations with dual long-memory models: evidence from the Tunisian stock market pp. 77-94 Downloads
Samir Mabrouk and Chaker Aloui
Post-issue promoter groups holding, signalling and IPO underprice: evidence from Indian IPOs pp. 95-113 Downloads
Seshadev Sahoo and Prabina Rajib
An aggregate measure of financial ratios using a multiplicative DEA model pp. 114-126 Downloads
Ali Emrouznejad and Emilyn Cabanda
Pension buyouts: what can the USA learn from the UK experience? pp. 127-150 Downloads
Ashby H.B. Monk

Volume 4, issue 1, 2009

Mergers' announcements and their impact on firm value in Athens stock-exchange market: an empirical analysis, 2000–2006 pp. 1-10 Downloads
Kanellos Toudas, Nikolaos Eriotis, Dimitrios Vasiliou and Zoe Ventura-Neokosmidi
Reverse takeovers: an alternative to the IPO? pp. 11-20 Downloads
Apostolos Dasilas, Athanasios Koulakiotis and Pantelis Vutirakis
Market power and merger activity in Taiwan banking pp. 21-37 Downloads
Tsai-Lien Yeh
Credit risk evaluation: the application of scorecard in financial services pp. 38-47 Downloads
Dash Wu and Luis A. Seco
Portfolio selection under changing market conditions pp. 48-63 Downloads
Cornelia Ernst, Martin Grossmann, Stephan Hocht, Stefan Minden, Matthias Scherer and Rudi Zagst
High-tech IPOs in the USA, UK and Europe after the dot-com bubble pp. 64-75 Downloads
Keith Pilbeam and Frank Nagle

Volume 3, issue 3/4, 2008

Meta analysis of banking services in India: a customer centric approach pp. 216-222 Downloads
Sanjeev Verma and Ranjan Chaudhuri
Innovation behaviour in financial services: an empirical analysis pp. 223-242 Downloads
Soumodip Sarkar, Cesaltina Pires and Luisa Carvalho
Retailers' entry into the provision of financial services: the case for and against pp. 243-254 Downloads
Steve Worthington
The structural model of competition in the Thai banking industry pp. 255-268 Downloads
Jarunee Wonglimpiyarat
Efficiency and productivity growth in Taiwanese banking pp. 269-282 Downloads
Tsai-lien Yeh
Customer satisfaction with usage of banks distribution channels: an empirical investigation pp. 283-294 Downloads
Vimi Jham and Kaleem M. Khan
Consultants as the players, bankers as the house: gaining competitive advantage in merger and acquisition advisory services pp. 295-309 Downloads
Richard B. Connell, Tatiana Zalan and Jack Cadeaux
Financial instability and macro-prudential supervision pp. 310-334 Downloads
Minas Pediaditakis and Cleanthis Thomaidis
Teaching applications of Monte Carlo simulation to European option pricing pp. 335-342 Downloads
Nont Dhiensiri and Musa Essayyad

Volume 3, issue 2, 2008

Efficiency of commercial banks in Lebanon pp. 105-123 Downloads
Salpie Djoundourian and Elias A. Raad
A global analysis of culture and imperfect competition in banking systems pp. 124-135 Downloads
Miki Malul and Amir Shoham
The impact of foreign banks in developing and transition economies pp. 136-147 Downloads
Victor Murinde, Anne Miroux and Michael Lim
SME access to bank finance in an emerging economy: the role of information management practices pp. 148-170 Downloads
Noel Tagoe, Ebenezer Anuwa-Amarh and Ernest Nyarko
Measuring the performance of microfinance providers: an assessment of past and present practices pp. 171-187 Downloads
Ronny Manos and Jacob Yaron
Is wholesale lending to SACCOs a win-win encounter? pp. 188-199 Downloads
Kassim Hussein and A Makame
Determinants of FDI inflows into Rwanda: 1971–2003 pp. 200-212 Downloads
Sung C. No, Andrew Muhammad, Caleb Tamwesigire and Fred Mugisha

Volume 3, issue 1, 2008

Risk management in the UK insurance industry: the changing state of practice pp. 5-23 Downloads
Kevin Dowd, David L. Bartlett, Mark Chaplin, Patrick Kelliher and Christopher O'Brien
Accounting for credit risk: are the rules setting the right incentives? pp. 24-44 Downloads
Gunther Gebhardt
The value of risk reporting: a critical analysis of value-at-risk disclosures in the banking sector pp. 45-64 Downloads
Margaret Woods, Kevin Dowd and Christopher Humphrey
Restoring reputation and repairing legitimacy: a case study of impression management in response to a major risk event at Allied Irish Banks plc pp. 65-82 Downloads
Philip Linsley and Peter Kajuter
Credibility of managerial forecast disclosure in market and regulated settings pp. 83-98 Downloads
Michael Dobler

Volume 2, issue 4, 2007

Bank acquisitions and shareholder returns pp. 255-276 Downloads
Panayotis Alexakis
Determinants of merger activity: evidence from India pp. 277-288 Downloads
Madhuri Agrawal and Rudra Sensarma
Predicting Greek mergers and acquisitions: a new approach pp. 289-303 Downloads
Athanasios Tsagkanos, Antonios Georgopoulos and Costas Siriopoulos
Mergers and acquisitions in the Malaysian banking industry: technical and scale efficiency effects pp. 304-326 Downloads
Fadzlan Sufian
Impact of mergers and acquisitions on stock returns of tramp shipping firms pp. 327-343 Downloads
Aristeidis G. Samitas and Dimitris Kenourgios
Identifying synergies ahead of mergers and acquisitions pp. 344-360 Downloads
Dodo zu Knyphausen-Aufsess, Jens Koeppen and Lars Schweizer

Volume 2, issue 3, 2007

Global push and foresight to pull: Black & Decker's Czech investment pp. 175-191 Downloads
Hosein Piranfar and Reza Rasouli
Antecedents of communication quality during the new service development process of corporate financial services pp. 192-213 Downloads
Pinelopi Athanassopoulou and John Mylonakis
Banking policies and regulations: comparative study of Kuwait, UAE and Qatar pp. 214-234 Downloads
Md. Mostaque Hussain, Ehab K. A. Mohamed, Mazhar M. Islam and Mawdudur Rahman
A quality of segmental disclosure: a case study in Malaysia pp. 235-253 Downloads
Mohammad Talha, Abdullah Sallehhuddin and Junaini Mohammed

Volume 2, issue 1/2, 2007

An alternative Circuitist view for Southeastern Europe pp. 3-13 Downloads
Nicholas Potts
The financial performance of large and small firms: evidence from Greece pp. 14-20 Downloads
Theodore A. Papadogonas
An investigation of riskiness in South and Eastern European markets pp. 21-33 Downloads
Lampros Kalyvas, Athanasios Sfetsos, Costas Siriopoulos and Antonios Georgopoulos
Macroeconomic factors' influence on 'new' European countries' stock returns: the case of four transition economies pp. 34-49 Downloads
Aristeidis G. Samitas and Dimitris Kenourgios
The adoption of IFRS in South Eastern Europe: the case of Greece pp. 50-63 Downloads
Charalambos Spathis and Eleftheria Georgakopoulou
Hedging with futures, an empirical study of hedging a portfolio of Greek government bonds with Euro-German bond futures pp. 64-74 Downloads
Panagiotis Christodoulou and Zaphiro Hambouri
Internal auditing: an essential tool for adding value and improving the operations of financial institutions and organisations pp. 75-81 Downloads
A.N. Mihiotis and N.F. Konidaris
An exploratory investigation of mission statements of banks in South Eastern European countries: customers vs. society? pp. 82-99 Downloads
Alexandra Kontolaimou, Dionysios Psallidas and Anastasia Pseiridis
A review of banking institutions' transformation in Balkan transition economies: 1990–2000 pp. 100-117 Downloads
John Mylonakis
The efficiency of the Bulgarian agricultural commodity markets during transition pp. 118-132 Downloads
Marianna Paschali
Environmental accounting as a tool of qualitative improvement of banks' services: the case of Greece pp. 133-143 Downloads
Ioannis E. Nikolaou
An empirical examination of acquisitions in Greece pp. 144-158 Downloads
A.M. Tzortzaki
A post-reform assessment of the Indian banking sector: profitability, risk and transparency pp. 159-174 Downloads
Niranjan Chipalkatti and Meenakshi Rishi
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