International Journal of Monetary Economics and Finance
2007 - 2025
From Inderscience Enterprises Ltd Bibliographic data for series maintained by Sarah Parker (). Access Statistics for this journal.
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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

- 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

- Ezekiel Olamide Abanikanda
- The impact of economic freedom on the risk-taking behaviours of Vietnamese commercial banks pp. 353-373

- 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

- Nurmadi Harsa Sumarta, Muhammad Agung Prabowo and Nugroho Saputro
- Islamic banking deposits in Indonesia: Do spatial effects matter? pp. 386-405

- Eko Suprayitno and Silvia Vara Dhita
Volume 15, issue 3, 2022
- Islamic banks' merger: the case of Bank Syariah Indonesia pp. 201-212

- Ayu Dwi Utami, Tastaftiyan Risfandy and Rolina Rahardjoputri
- Sharia supervisory board, maqasid syariah, and accounting-based performance: evidence from Indonesia pp. 213-231

- Hasan Mukhibad, Doddy Setiawan, Rahmawati, Mahameru Rosy Rochmatullah and Warsina
- Do mosques use Islamic bank services? Evidence from Indonesia pp. 232-252

- 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

- Fakhrana Nadhilah and Oktofa Yudha Sudrajad
- The determinants of deposits in Islamic and conventional banks: an Indonesian study pp. 273-292

- 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

- 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

- Ijaz Ur Rehman
- Investigating contagion effect of the recent Turkey currency crisis pp. 118-137

- Narinder Pal Singh and Suzan Dsouza
- Cyclicality of bank liquidity in Vietnam pp. 138-153

- Van Dan Dang
- The Chinese banking sector's structured deposits: growth, role in interest rate pass-through, and implications pp. 154-172

- Kerry Liu
- Impact of market competitiveness and risk management of NPAs of Indian banks on its efficiency pp. 173-193

- Jagjeevan Kanoujiya and Shailesh Rastogi
Volume 15, issue 1, 2022
- Do macro-economic factors drive life insurance growth? An empirical analysis pp. 1-18

- Abhijit Chakraborty and Ashim Kumar Das
- A trend analysis of Eurobond yields in Africa pp. 19-34

- 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

- 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

- Van Dan Dang
- Stock price crash risk: the role of systematic skewness pp. 78-93

- 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

- Aadila Hoosain, Alta Joubert and Emmanuel Owusu-Sekyere
- Treasury triplets and the efficiency of the US treasury marketplace pp. 427-437

- Anne M. Anderson and Richard J. Kish
- Threshold effects of inflation on the financial development-economic growth nexus in Tunisia pp. 438-459

- Helali Kamel, Khoutem Ben Jedidia and Thouraya Boujelbène
- Complexity of exchange rate movement, analysis and volatility forecasting models: a review pp. 460-476

- 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

- 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

- Atika Rizki and Aria Farah Mita
- How are residential property prices formed in Japan under different monetary policy regimes pp. 306-313

- 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

- Nongnit Chancharat and Parichat Sinlapates
- The profitability of trading strategies based on historical prices and risk: evidence from Thailand pp. 323-331

- 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

- Natthawipha Kitivuttishusilp and Nongnit Chancharat
- Modelling exchange rate movements in South Africa: an ARDL application pp. 342-352

- 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

- Mei Foong Wong
- Scale efficiency and marginal revenue product at the audit service level: evidence from Korea pp. 363-372

- Sang-Lyul Ryu and Jayoun Won
- Cause-effect relationship between toxic factors and well-being at work pp. 373-383

- 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

- Pratami Wulan Tresna, Herwan Abdul Muhyi and Anggi Nurhidayah
- Does political motives affect local government financial statement quality? pp. 394-403

- Nurmali Agustina and Dyah Setyaningrum
- The effect of global value chain on the environment: the case of CO 2 emission pp. 404-410

- Piyaphan Changwatchai
Volume 14, issue 3, 2021
- Ownership structure segmentation of Indian listed firms: a governance perspective pp. 197-211

- 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

- Haochen Guo
- The local currency oil price and food price relationship for Turkey: a dynamic correlation and time-frequency dependency analysis pp. 233-248

- 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

- 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

- 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

- Thi Hong An Thai and Radu Burlacu
- Behavioural economics and the Phillips curve: new evidence from sectoral survey data pp. 131-141

- Tobias F. Rötheli
- Financial literacy of SMEs in Citarum Watershed Area, Indonesia pp. 142-151

- 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

- 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

- 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

- Apriwandi and R.A. Supriyono
Volume 14, issue 1, 2021
- Revenue efficiency: a distributional analysis in the European banking pp. 3-22

- Kristína Kočišová and Peter Šugerek
- Assessment of selected aspects of financial stability of the Czech banks pp. 23-34

- Iveta Palečková and Pavla Klepková Vodová
- The impacts of monetary policy of the Czech National Bank on selected economic indicators pp. 35-53

- Liběna Černohorská
- BVAR models in short-term prediction of modern central banks: empirical evidence of the euro area pp. 54-68

- Aleksandra Nocoń
- The relationship of liquid money and selected price indices in the USA pp. 69-90

- Jan Černohorský
- Role of deposit insurance schemes on financial markets pp. 91-104

- Magdalena Kozińska
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