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 9, issue 4, 2016
- The reaction of the Japanese REIT market to stock prices and interest rates: a comparison of the periods before and after Abenomics pp. 319-329

- Takayasu Ito
- Bayesian estimation of a new Keynesian policy model for a small open economy pp. 330-352

- Bechir Bouzid
- Competition law and the Malaysian financial services market: an analysis of the structure and level of competition in the market pp. 353-362

- Nasarudin Abdul Rahman, Mohd Hasbullah Mohamad Faudzi, Haniff Ahamat and Zuhairah Ariff Abd Ghadas
- Study on empirical characteristic of rural bank sustainability in Indonesia pp. 363-378

- Muljanto Moechdi, Munawar Ismail, Candra Fajri Ananda and Ahmad Erani Yustika
- The implication of firm-specific characteristics on disclosure: the case of Indonesia pp. 379-387

- Ardi Gunardi, Erie Febrian and Aldrin Herwany
- Capital structure determinants and the speed of adjustment towards capital structure target: evidence from Indonesian state-owned enterprises pp. 388-400

- Subiakto Soekarno, Mandra Lazuardi Kitri and Suryo Utomo
- The South African monetary policy and inflation targeting as a nominal anchor: Does the monetary policy become more effective? pp. 401-416

- Mohammed Umar, Jauhari Dahalan and Mukhriz Izraf Azman Aziz
Volume 9, issue 3, 2016
- Volatility spillovers between exchange rates and Indian stock markets in the post-recession period: an APARCH approach pp. 225-244

- Bhaskar Bagchi
- Euro area stock markets performance comparison and its dependence on macroeconomic variables pp. 245-266

- José Soares Da Fonseca
- The stability of learning prior to an anticipated change in the target inflation rate pp. 267-293

- Bartholomew Moore
- Is the relationship between macroeconomy and stock market liquidity mutually reinforcing? Evidence from an emerging market pp. 294-316

- Ijaz Ur Rehman, Nurul Shahnaz Mahdzan and Rozaimah Zainudin
Volume 9, issue 2, 2016
- The behaviour of sovereign CDS and government bond in the Euro zone crisis pp. 102-114

- Takayasu Ito
- Fragility and contagion within European Union's banking system: the network prospective pp. 115-131

- Muhammad Mohsin Hakeem and Ken-ichi Suzuki
- Financial contagion in interbank network pp. 132-148

- Dengbao Yao, Xiaoxing Liu and Xu Zhang
- Creating contestable banking market: the effect of changes in the regulatory structure in Indonesia pp. 149-163

- Tri Mulyaningsih, Anne Daly and Riyana Miranti
- International trade financing: a comparative study on the performance of state-owned and private commercial banks of Bangladesh pp. 164-186

- Hazera Akter and Suborna Barua
- Evaluating gender responsive budgeting in Turkey pp. 187-197

- Cevat Tosun and Necmiddin Bağdadioğlu
- Good government governance and opinions of the audit board of Republik Indonesia pp. 198-211

- Aminah, Lindrianasari and Rosmiaty
- The role of money multiplier in monetary transmission mechanism in Iran (bank lending and money supply) pp. 212-223

- Jafar Haghighat and Tanaz Salahesh
Volume 9, issue 1, 2016
- Dynamic relations of the inertia of monetary policy: application to the Brazilian case by a Kalman approach pp. 1-24

- Manuel Joaquim Da Natividade Silva, Gutemberg Hespanha Brasil and Ricardo Ramalhete Moreira
- Inflation persistence: revisited pp. 25-44

- Edward N. Gamber, Jeffrey P. Liebner and Julie Smith
- Volatility of stock market and exchange rate returns in Peru: Long memory or short memory with level shifts? pp. 45-66

- Andrés Herrera Aramburú and Gabriel Rodríguez
- Liquidity, liquidity risk and stock returns: evidence from Vietnam pp. 67-89

- Xuan Vinh Vo and Hong Thu Bui
- Beating the market: Can evolutionary-based portfolio optimisation outperform the Talmudic diversification strategy? pp. 90-99

- Safwan Mohd Nor and Sardar M.N. Islam
Volume 8, issue 4, 2015
- Analysis of customer mindset change and accounting practice of garbage bank as medium of edupreneurship pp. 332-344

- Anna Purwaningsih
- Effect of auditor and client negotiation experience on audit results: an experimental test pp. 345-359

- Leliana Maria Angela and Fitria Husnatarina
- The impact of financial inclusion on monetary policy effectiveness: the case of Malawi pp. 360-384

- Angella Faith Lapukeni
- Corporate governance perception index, performance and value of the firm in Indonesia pp. 385-397

- Zaidirina and Lindrianasari
- A global game analysis of the LLR: the role of creditors' behaviour and penalty rate lending pp. 398-421

- Junnosuke Shino
Volume 8, issue 3, 2015
- On the existence of loss function for some useful classes of central bankers pp. 229-241

- Marcelo de Carvalho Griebeler
- Determinants of bank customers' demand for liquidity: the effect of bank capital and customers' characteristics pp. 242-264

- Cláudia D. Bernardo, Sérgio C. Lagoa and Emanuel R. Leão
- Credit for equity investment and stock market volatility: evidence of variance causality pp. 265-273

- Ibrahim Onour
- Determinants of the CNY/USD exchange rate: a simultaneous-equation model pp. 274-281

- Yu Hsing
- Exchange rate pass-through to domestic prices in Tunisia: a short- and long-run analysis pp. 282-301

- Helali Kamel and Maha Kalai
- Features of Korean SMEs exchange exposure pp. 302-317

- Sunghee Choi and Woohyung Lee
- A maximum likelihood estimator for information precision in the financial market pp. 318-329

- George Li
Volume 8, issue 2, 2015
- The effect of earnings management with special item to investment decision: empirical study at manufacture firm listed in Indonesia Stock Exchange 2008-2010 pp. 111-125

- S. Rahmawati, Sri Wahyu Agustiningsih and Erna Setiany
- An empirical examination of the role of the remuneration committee in the relationship between board of directors and remuneration pp. 126-142

- Syaiful Baharee Jaafar, Mohd Mohid Rahmat and Kieran James
- The impact of corporate governance on corporate social disclosure: comparative study in South East Asia pp. 143-161

- Edy Supriyono, Abdul Kharis Almasyhari, Djoko Suhardjanto and S. Rahmawati
- Intellectual capital disclosure, corporate governance structure and firm value in Indonesian banking industry pp. 162-177

- Lia Uzliawati and Kartika Djati
- Can shareholder rights protection reduce corruption in lending? pp. 178-190

- Siwapong Dheera-aumpon
- Large shareholders' relationship, active shareholder and supervision pp. 191-201

- Tingli Liu and Qianqian Shi
- Market reaction on income smoothing in the Indonesian manufacturing industry pp. 202-212

- Iwan Setiadi, S. Purnamasari and Erna Setiany
- The effect of audit committee quality and internal auditor objectivity on the prevention of fraudulent financial reporting and the impact on financial reporting quality (a survey on state-owned company in Indonesia) pp. 213-227

- Angrita Denziana
Volume 8, issue 1, 2015
- Does news on the euro area impact the sovereign yield spreads? pp. 4-19

- Houssam Bouzgarrou and Tarek Chebbi
- Information flow between derivatives and spot market; the reason of studies results divergence pp. 20-33

- Abderrahmen Aloulou and Younes Boujelbene
- Does inflation targeting decrease the primary budget deficit in emerging markets? An empirical evidence pp. 34-48

- Mohamed Kadria and Mohamed Safouane Ben Aissa
- The impact of extreme values on the assessment of financial assets pp. 49-70

- Sihem Mansour and Slaheddine Hellara
- Do macroeconomic factors matter for stock returns? Evidence from the European automotive industry pp. 71-84

- Rim M. El Khoury
- Post-privatisation ownership structure and firm performance: what is the matter? pp. 85-108

- Mouna Mrad
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