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International Journal of Monetary Economics and Finance

2007 - 2023

From Inderscience Enterprises Ltd
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Volume 16, issue 5, 2023

The relationship between investor sentiment and stock returns: the case of the S%P 500 companies pp. 309-333 Downloads
Rawya Ben Youssef and Fathi Jouini
Economic resilience of large urbanised Russian regions to pandemic-induced shocks pp. 334-347 Downloads
Irina D. Turgel and Olga A. Chernova
Effect of company characteristics and board structure on human resource disclosure index in Indian corporate sector pp. 348-396 Downloads
Kirti Aggarwal
Understanding the effects of COVID-19 on regime switching behaviour of Asian stock markets pp. 397-416 Downloads
Bhaskar Bagchi and Raktim Ghosh
Investigation of relative superiority of business valuation methods pp. 417-425 Downloads
Kay Zekany and Musa Essayyad

Volume 16, issue 3/4, 2023

Housing regimes and macroeconomy in South Africa: a tripartite analysis pp. 179-187 Downloads
Adefemi A. Obalade, Lusanda Mbatha, Nkululeko Radebe, Nosipho Dlamini, Nqobile Dludla and Paul-Francois Muzindutsi
The impact of continuous tightening policies on China's real estate industry pp. 188-196 Downloads
Tuo Han and Jianing Zhang
An application of survival analysis to the impact of the COVID-19 epidemic on Thailand's stock market volatility pp. 197-205 Downloads
Suchunya Khainsiri and Surachai Chancharat
Financial impact of COVID-19: non-pharmaceutical interventions in Indonesia pp. 206-212 Downloads
Ana Noveria and Muhamad Fikri
The impact of government subsidies on the innovation of new energy vehicle companies pp. 213-221 Downloads
Zhilin Ding and Jianing Zhang
Factors influencing the acceptance of Fintech lending platform in Indonesia: an adoption of technology acceptance model pp. 222-230 Downloads
Maretta Arninda Dianty and Taufik Faturohman
Analysis of the implications of role stress towards innovative behaviour and the success of womenpreneurs in Banten Province, Indonesia pp. 231-242 Downloads
Sam'un Jaja Raharja, Rusdin Tahir and Sitti Ma'ani Nina
Factors influencing university-to-industry knowledge transfer pp. 243-251 Downloads
Lina Anatan
Artificial neural network to develop loan default predicting model using social media data: a case study of online peer to peer lending pp. 252-260 Downloads
Taufik Faturohman, Muhammad Abdullah Hamzah Syaiful Mukminin, Sudarso Kaderi Wiryono, Gun Gun Indrayana, Raden Aswin Rahadi and Kurnia Fajar Afgani
Effect of the audit hours regulation on audit fees and scale efficiency in audit firms: Korean evidence pp. 261-271 Downloads
Jayoun Won and Sang-Lyul Ryu
The impact of forensic auditing techniques on non-government organisations' fraud risk management in South Africa using a proactive approach pp. 272-281 Downloads
Jean Damascene Mvunabandi, Bomi Nomlala and Harold Patrick
Corporate board and shareholder structure, cost of capital, and the performance of Thai listed companies: the application of path analysis pp. 282-290 Downloads
Nongnit Chancharat and Boonyarit Kotphootorn
Islamic social reporting index, company performance, and market performance pp. 291-299 Downloads
Lindrianasari, Ira Oktamalia and Widya Rizki Eka Putri
Ownership structure and earnings management: studies on banking companies before and during the COVID-19 pandemic pp. 300-308 Downloads
Anna Purwaningsih, Anggreni Dian Kurniawati and Yohanes Mario Pratama

Volume 16, issue 2, 2023

Heterogeneous drivers of Nordic capital market movements in the light of UMP pp. 83-104 Downloads
Mercédesz Mészáros and Gábor Dávid Kiss
The pandemic emergency asset purchase and the sovereign bond market connectedness pp. 105-120 Downloads
Tarek Chebbi and Waleed Hmedat
Financial contagion among stock markets and portfolio risk during the COVID-19 crisis pp. 121-138 Downloads
Mohamed Yousfi and Houssam Bouzgarrou
Household debt, inequality, and financial stability nexus pp. 139-156 Downloads
Margaret Rutendo Magwedere and Godfrey Marozva
Impact of Covid-19 on broader indices of Indian stock market pp. 157-176 Downloads
Girija Nandini, Ratidev Samal, Alaka Samantaray and Rashmi Ranjan Panigrahi

Volume 16, issue 1, 2023

The influence of market power on bank risk-taking in the Euro area countries during the inter-crises period pp. 1-22 Downloads
Adriana Novotná and Kristína KoÄ iÅ¡ová
The impact of low interest rates on the bank profitability pp. 23-39 Downloads
Tomáš Fabian and Kristína KoÄ iÅ¡ová
Impact of novel coronavirus outbreak-related announcements on pharmaceutical stocks: empirical evidence from an emerging market pp. 40-57 Downloads
Vineeta Kumari, Varun Kumar Rai and Dharen Pandey
Differential impacts of fiscal consolidation policies under alternative monetary regimes: evidence from Indian economy pp. 58-82 Downloads
Ishfaq Ahmad and Javaid Iqbal

Volume 15, issue 4, 2022

Volatility contagion (spillover) between Chinese and Pakistani stock markets during COVID-19: pre and post analysis of trade-level data pp. 309-330 Downloads
Syed Faisal Hasan Bukhari, Habib Ahmad, Hasan Hanif and Syed Farhan Shah
Measuring the impact of exchange rate volatility on the depth and efficiency of the financial sector: evidence from Nigeria pp. 331-352 Downloads
Ezekiel Olamide Abanikanda
The impact of economic freedom on the risk-taking behaviours of Vietnamese commercial banks pp. 353-373 Downloads
Buu Kiem Dang and Anh Dang Bao Phan
Digital banking service in Indonesia: Does it really matter for bank performance? Evidence from Indonesian commercial banks pp. 374-385 Downloads
Nurmadi Harsa Sumarta, Muhammad Agung Prabowo and Nugroho Saputro
Islamic banking deposits in Indonesia: Do spatial effects matter? pp. 386-405 Downloads
Eko Suprayitno and Silvia Vara Dhita

Volume 15, issue 3, 2022

Islamic banks' merger: the case of Bank Syariah Indonesia pp. 201-212 Downloads
Ayu Dwi Utami, Tastaftiyan Risfandy and Rolina Rahardjoputri
Sharia supervisory board, maqasid syariah, and accounting-based performance: evidence from Indonesia pp. 213-231 Downloads
Hasan Mukhibad, Doddy Setiawan, Rahmawati, Mahameru Rosy Rochmatullah and Warsina
Do mosques use Islamic bank services? Evidence from Indonesia pp. 232-252 Downloads
Khansa Fairuz, Adam Adhe Nugraha, Farhan Medio Yudantyo, Novat Pugo Sambodo, Evi Aninatin Ni'matul Choiriyah, Umminita Wahyu Pertiwi and Riswanti Budi Sekaringsih
Do business models in Islamic bank matters? The effect of business models on bank performance and stability pp. 253-272 Downloads
Fakhrana Nadhilah and Oktofa Yudha Sudrajad
The determinants of deposits in Islamic and conventional banks: an Indonesian study pp. 273-292 Downloads
Eko Fajar Cahyono, Lina Nugraha Rani and M. Fariz Fadillah Mardianto
Do intellectual capital and financing matter for the profitability of the Islamic banking industry in Indonesia? pp. 293-308 Downloads
Fauziah Aida Fitri, Muhammad Syukur, M. Shabri Abd. Majid, Intan Farhana and Fakhri Hatta

Volume 15, issue 2, 2022

Payout policy, investment efficiency, and corporate performance in the Asia Pacific: does boardroom diversity matter? pp. 95-117 Downloads
Ijaz Ur Rehman
Investigating contagion effect of the recent Turkey currency crisis pp. 118-137 Downloads
Narinder Pal Singh and Suzan Dsouza
Cyclicality of bank liquidity in Vietnam pp. 138-153 Downloads
Van Dan Dang
The Chinese banking sector's structured deposits: growth, role in interest rate pass-through, and implications pp. 154-172 Downloads
Kerry Liu
Impact of market competitiveness and risk management of NPAs of Indian banks on its efficiency pp. 173-193 Downloads
Jagjeevan Kanoujiya and Shailesh Rastogi

Volume 15, issue 1, 2022

Do macro-economic factors drive life insurance growth? An empirical analysis pp. 1-18 Downloads
Abhijit Chakraborty and Ashim Kumar Das
A trend analysis of Eurobond yields in Africa pp. 19-34 Downloads
Misheck Mutize
Empirical evidence of the monetary approach to the exchange rate determinants under a fully flexible regime: the case of Mexico pp. 35-57 Downloads
Alberto Gallegos-David, Arturo Lorenzo-Valdes and Bárbara Trejo-Becerril
The bank liquidity creation channel of monetary policy transmission in a multiple-instrument environment pp. 58-77 Downloads
Van Dan Dang
Stock price crash risk: the role of systematic skewness pp. 78-93 Downloads
Woraphon Wattanatorn and Chaiyuth Padungsaksawasdi

Volume 14, issue 5, 2021

Analysis of currency volatility from a macroeconomic perspective: the case of selected emerging market economies (EMEs) pp. 411-426 Downloads
Aadila Hoosain, Alta Joubert and Emmanuel Owusu-Sekyere
Treasury triplets and the efficiency of the US treasury marketplace pp. 427-437 Downloads
Anne M. Anderson and Richard J. Kish
Threshold effects of inflation on the financial development-economic growth nexus in Tunisia pp. 438-459 Downloads
Kamel Helali, Khoutem Ben Jedidia and Thouraya Boujelbène
Complexity of exchange rate movement, analysis and volatility forecasting models: a review pp. 460-476 Downloads
Alexander Amo Baffour, Kofi Nyarko Gyimah and Alexander Owiredu
Assessment of return and volatility spillover across sectors' indices: evidence from Pakistan stock exchange pp. 477-496 Downloads
Hafiza Muntaha Khalid, Sadia Farooq, Faiza Liaqat and Muhammad Naeem

Volume 14, issue 4, 2021

The relevance of fair value after the adoption of IFRS 13: fair value measurement and the role of audit committee pp. 297-305 Downloads
Atika Rizki and Aria Farah Mita
How are residential property prices formed in Japan under different monetary policy regimes pp. 306-313 Downloads
Takayasu Ito
Is value premium driven by risk in the stock exchange of Thailand? A comparison of the Fama/French three-factor model and Fama/French five-factor model pp. 314-322 Downloads
Nongnit Chancharat and Parichat Sinlapates
The profitability of trading strategies based on historical prices and risk: evidence from Thailand pp. 323-331 Downloads
Surachai Chancharat and Parichat Sinlapates
The impact of board structure on performance of Thai-listed companies in Market for Alternative Investment (mai) pp. 332-341 Downloads
Natthawipha Kitivuttishusilp and Nongnit Chancharat
Modelling exchange rate movements in South Africa: an ARDL application pp. 342-352 Downloads
Paul-Francois Muzindutsi, Zama Zungu, Minenhle Khanyile, Thalente Dlamini, Andile Sithole and Adefemi A. Obalade
Impact of corporate governance and financial stability on bank risk in Malaysia pp. 353-362 Downloads
Mei Foong Wong
Scale efficiency and marginal revenue product at the audit service level: evidence from Korea pp. 363-372 Downloads
Sang-Lyul Ryu and Jayoun Won
Cause-effect relationship between toxic factors and well-being at work pp. 373-383 Downloads
Alena Fedorova, Zuzana Dvorakova, Ilze Kacane, Hüseyin Atas and Valeriya Badambayeva
Factors affecting the turnover intention of bank employees at the West Java Regional XBank Indonesia community pp. 384-393 Downloads
Pratami Wulan Tresna, Herwan Abdul Muhyi and Anggi Nurhidayah
Does political motives affect local government financial statement quality? pp. 394-403 Downloads
Nurmali Agustina and Dyah Setyaningrum
The effect of global value chain on the environment: the case of CO 2 emission pp. 404-410 Downloads
Piyaphan Changwatchai

Volume 14, issue 3, 2021

Ownership structure segmentation of Indian listed firms: a governance perspective pp. 197-211 Downloads
Ruchi Kansil
Data envelopment analysis of the impact and performance of China stock market's global integration: empirical analysis of MSCI China pp. 212-232 Downloads
Haochen Guo
The local currency oil price and food price relationship for Turkey: a dynamic correlation and time-frequency dependency analysis pp. 233-248 Downloads
Hasan Ertugrul
Impact of the COVID-19, lockdown and unlock on the Indian stock market and its international linkage with the Chinese stock market pp. 249-264 Downloads
Narinder Pal Singh, Himanshu Goel and Shabnam Kumari
Responses of macroeconomy and stock markets to structural oil price shocks: new evidence from Asian oil refinery pp. 265-294 Downloads
Thai Le and Marta Disegna

Volume 14, issue 2, 2021

The heterogeneity in adjustment speeds toward corporate target leverage: the case of Vietnam pp. 105-130 Downloads
An Thai and Radu Burlacu
Behavioural economics and the Phillips curve: new evidence from sectoral survey data pp. 131-141 Downloads
Tobias F. Rötheli
Financial literacy of SMEs in Citarum Watershed Area, Indonesia pp. 142-151 Downloads
Sam'un Jaja Raharja and Nenden Kostini
Does non-linearity in exchange rate hold in Nigeria? evidence from smooth transition autoregressive model pp. 152-165 Downloads
James Dada, Philip Akanni Olomola and Adebayo Adedokun
Explaining the endogeneity between the credit risk, liquidity risk, and off-balance sheet activities in commercial banks: a case of South Asian economies pp. 166-187 Downloads
Muhammad Farhan Basheer, Waeibrorheem Waemustafa, Mohamad Helmi Bin Hidthiir and Saira Ghulam Hassan
Actual participation: the effects of information sharing and familiarity team on budget decision quality pp. 188-195 Downloads
Apriwandi and R.A. Supriyono

Volume 14, issue 1, 2021

Revenue efficiency: a distributional analysis in the European banking pp. 3-22 Downloads
Kristína Kočišová and Peter Šugerek
Assessment of selected aspects of financial stability of the Czech banks pp. 23-34 Downloads
Iveta Palečková and Pavla Klepková Vodová
The impacts of monetary policy of the Czech National Bank on selected economic indicators pp. 35-53 Downloads
Liběna Černohorská
BVAR models in short-term prediction of modern central banks: empirical evidence of the euro area pp. 54-68 Downloads
Aleksandra Nocoń
The relationship of liquid money and selected price indices in the USA pp. 69-90 Downloads
Jan Černohorský
Role of deposit insurance schemes on financial markets pp. 91-104 Downloads
Magdalena Kozińska
Page updated 2024-03-04