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International Journal of Monetary Economics and Finance

2007 - 2025

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

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Volume 13, issue 5, 2020

Explaining the stock-stock, bond-bond and stock-bond correlation across countries pp. 429-445 Downloads
David G. McMillan
The effect of diversification on bank performance in dual banking system pp. 446-470 Downloads
Fazelina Sahul Hamid
The impact of monetary policy on overall and sectoral economic growth: evidence from Tunisian central bank in crisis periods pp. 471-484 Downloads
Guenichi Hassen and Khalfaoui Hamdi
Dividend policy and the bank-firm relationship: evidence from Tunisian context pp. 485-501 Downloads
Khaoula Aliani, Lama Al-Kayed and Marwa Gouasmia
Abuses based on the deficit of information in financial markets: the case of presenting the interest rate in basic financial offers pp. 502-512 Downloads
Bożena Frączek

Volume 13, issue 4, 2020

Risk governance and bank performance in Sub Saharan Africa: dynamic panel evidence pp. 317-340 Downloads
Adamu Yahaya, Fauziah Mahat and B.T. Matemilola
Audit committee member characteristics and committee effectiveness: evidence from Turkish banking sector pp. 341-361 Downloads
Yaman Erzurumlu and Gurcan Avci
Debt and profitability: evidence from Bangladesh pp. 362-382 Downloads
Mumtahina Islam and G.M. Wali Ullah
Expansionary monetary policy and bank lending: the case of new Euro Area member states pp. 383-416 Downloads
Boris Fisera and Jana Kotlebova
Flexible and standard fiscal rules in context of stability of public finances pp. 417-427 Downloads
Agnieszka Przybylska-Mazur

Volume 13, issue 3, 2020

Profit-shifting through Panama Papers destinations: a case study for the Czech Republic pp. 179-188 Downloads
Veronika Solilová, Danuše Nerudová, Marek Litzman and Marian Dobranschi
Equity markets and investment patterns: the network perspective pp. 189-197 Downloads
Muhammad Mohsin Hakeem
Cultural distance and Thailand's foreign direct investment attractiveness pp. 198-205 Downloads
Piyaphan Changwatchai and Siwapong Dheera-aumpon
Transformation of labour relations in the context of global economic and social risks pp. 206-214 Downloads
Alena Fedorova, Zuzana Dvorakova and Olga Koropets
Static or adaptive? the month-of-the-year and intra-month effects in African stock markets pp. 215-234 Downloads
Adefemi A. Obalade and Paul-Francois Muzindutsi
Financial reporting quality: the case of Czech and German listed companies pp. 235-243 Downloads
Patrik Svoboda, Barbora Poskočilová and Hana Bohušová
Do managements tell us the whole truth and nothing but the truth? Impact of textual sentiment in financial disclosure to future firm performance and market response in Thailand pp. 244-252 Downloads
Siriyos Chuthanondha
Can an integrated reporting system in Thai context create sustainable value to users? pp. 253-259 Downloads
Neungruthai Petcharat
Achieving earnings target through real activities manipulation: lesson from stock exchange of Thailand pp. 260-268 Downloads
Karoon Suksonghong and Azlan Amran
Corporate governance and voluntary disclosures: a story about corporate transparency from Indonesia pp. 269-278 Downloads
Fitra Roman Cahaya and Gunadi Yoga
The effect of three types of agency problems on the firm performance: evidence from Indonesia pp. 279-286 Downloads
Ni Luh Gde Lydia Kusumadewi and Ratna Wardhani
Socio-economic, information and communication technology, and banking performance for financial inclusion index in Indonesia pp. 287-295 Downloads
Sylviana Maya Damayanti, Ditasa Madira, Raden Aswin Rahadi and Arinda Mentari Putri
Media promotion, Islamic religiosity and Muslim community perception towards charitable giving of cash waqf pp. 296-305 Downloads
Vika A. Qurrata, Linda Seprillina, Bagus S. Narmaditya and Nor Ermawati Hussain
Effects of innovation factors on SME performance: study on SMEs in food and beverages centers in Cimahi, Indonesia pp. 306-316 Downloads
Ratna Meisa Dai and Sam'un Jaja Raharja

Volume 13, issue 2, 2020

Analysing the impact of corporate stock buybacks in China and the US equity markets pp. 89-110 Downloads
Haochen Guo
Stock liquidity and capital structure: evidence from Saudi listed firms pp. 111-129 Downloads
Yomna Abdulla and Rabab Ebrahim
Dynamics of inflation and inflation uncertainty in Pakistan pp. 130-145 Downloads
Kashif Munir and Nimra Riaz
Impact of repatriation taxes and earned/contributed capital mix on dividend repatriation policy: the moderating role of firm financial maturity pp. 146-162 Downloads
Muhammad Tahir, Haslindar Ibrahim, Abdul Hadi Zulkafli and Muhammad Mushtaq
Are there differences in the use of debt capital in enterprises of different size? pp. 163-176 Downloads
Petra Růčková and Daniel Stavarek

Volume 13, issue 1, 2020

Stock returns indicator: case of Tadawul pp. 1-15 Downloads
Issam Tlemsani
The aftermaths of acquisition in Indonesia pp. 16-33 Downloads
Muhammad Syukur and Dej-anan Bungkilo
Internal and external determinants of listed commercial banks' profitability in India: dynamic GMM approach pp. 34-67 Downloads
Eissa A. Al-Homaidi, Faozi A. Almaqtari, Ali T. Yahya and Amgad S.D. Khaled
Interpreting survey-based federal funds rate forecasts: how accurate are they in reflecting market expectations? pp. 68-88 Downloads
Max Kwong, David Leung, Alfred Wong and Jiayue Zhang

Volume 12, issue 5, 2019

Analysis of the demand for the alternative currency WIR pp. 343-360 Downloads
Katerina Gawthorpe
Unconventional monetary policy in US: empirical evidence from estimated shadow rate DSGE model pp. 361-389 Downloads
Rui Wang
The risk-return trade-off of liquidity positions: evidence from Vietnamese banking system pp. 390-406 Downloads
Van Dan Dang
Modelling and forecasting long memory time series with exponential and switching GARCH models pp. 407-425 Downloads
Esmail Amiri
Demonetisation upshot on the volatility and returns of banking sector stocks of national stock exchange pp. 426-444 Downloads
Jincy K. John, R. Amudha and M. Muthukamu

Volume 12, issue 4, 2019

The information set of the Fed's policy reaction function pp. 249-273 Downloads
Nikiforos Laopodis
Do credit default swaps affect the time-varying cointegration between PIIGS's sovereign interest rates? pp. 274-289 Downloads
José Soares da Fonseca
Value relevance of book values and earnings of listed non-financial firms in South Africa: a dynamic panel analysis pp. 290-308 Downloads
Atanas Sixpence and Olufemi Patrick Adeyeye
A partial two sector banking model with interest on reserves pp. 309-324 Downloads
Shawn Osell
Corporate social responsibility effect on firm's financial performance in Jordan pp. 325-342 Downloads
Fouzan Al Qaisi

Volume 12, issue 3, 2019

Banks' financial innovation and the demand on money pp. 169-179 Downloads
Ala' Bashayreh, Mohammad W. Alomari, Samer Abdelhadi and Naderh Mryan
On the drivers of inflation in Iraq pp. 180-195 Downloads
Hatem Hatef Abdulkadhim Altaee and Sazan Taher Saeed
The signalling cost of hiring a large auditor: evidence from the fee differential between large and small auditors pp. 196-211 Downloads
Michael K. Fung, Louis T.W. Cheng and Tak-yan Leung
China's reserve requirements and their effects on economic output and assets markets during 2008-2018 pp. 212-232 Downloads
Kerry Liu
Asymmetric dynamics of insurance premium: the impact of monetary policy uncertainty on insurance premiums in Japan pp. 233-247 Downloads
Mehmet Balcilar, Godwin Oluseye Olasehinde-Williams and Muhammad Shahbaz

Volume 12, issue 2, 2019

Cryptocurrencies, Fiat money or gold standard: an empirical evidence from volatility structure analysis using news impact curve pp. 75-97 Downloads
Anwar Hasan Abdullah Othman, Syed Musa Alhabshi and Razali Haron
An ARDL and cointegration approach for analysing determinants of foreign portfolio investors' in India pp. 98-117 Downloads
Parul Kumar, R.K. Sharma and Sunil Kumar
Does the US economy face a long run trade off between inflation and unemployment? pp. 118-132 Downloads
Jamil Sayeed, Md. Deen Islam and Shanjida Yasmin
Diversification and cash holdings: comparison between Indonesia and the Netherlands firms pp. 133-151 Downloads
I. Made Sudana, Fahima Budi Imaniar, Nugroho Sasikirono and Sanju Kumar Singh
Analysis of structural linkages and inter-temporal stability in a cross-country BRICS portfolio pp. 152-168 Downloads
Harman Arora and Parminder Kaur

Volume 12, issue 1, 2019

US monetary policy surprises transmission to European stock markets pp. 3-14 Downloads
Tarek Chebbi and Abdelkader Derbali
Macroeconomic determinants of credit risk: a P-VAR approach evidence from Europe pp. 15-24 Downloads
Ahlem-Selma Messai and Mohamed Imen Gallali
The effect of sustainability assurance demand on information asymmetry: evidence from French companies pp. 25-38 Downloads
Yosra Mnif Sellami and Nada Damak Ben Hlima
Dynamic analysis of implied risk neutral density pp. 39-58 Downloads
Abderrahmen Aloulou and Younes Boujelbene
FDPM after the global price crisis in the coal industry pp. 59-74 Downloads
Ni Nyoman Sawitri
Page updated 2025-04-15