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International Journal of Banking, Accounting and Finance

2008 - 2021

From Inderscience Enterprises Ltd
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Volume 12, issue 2, 2021

Corporate bonds, exchange rates and business strategy pp. 97-117 Downloads
Konstantina Vartholomatou, Konstantina Pendaraki and Athanasios Tsagkanos
Is the era of the day-of-the-week anomaly over? pp. 118-140 Downloads
Ngan Duong Cao, Vu Quang Trinh and Thanh Quoc Nguyen
Bank risk and charter value: the role of opacity pp. 141-157 Downloads
Chris Brune, Kevin Lee and Scott Miller
The CEO identity of sovereign wealth funds and target firms' performance pp. 158-176 Downloads
Alfonso Del Giudice and Giovanni Petrella
Forecasting the yield curve with macroeconomic information - evidence from European markets pp. 177-200 Downloads
Isabel Maldonado, Carlos Pinho, Francisco Rodríguez De Prado and Carla Azevedo Lobo

Volume 12, issue 1, 2021

An empirical examination of the efficiency of commodity markets in India pp. 1-15 Downloads
Ullas Rao and Vincent Charles
The impact of ICT diffusion on sovereign cost of debt pp. 16-51 Downloads
Apostolos Kotzinos, Dimitris Psychoyios and Nikolaos Vlastakis
The relevance of annual general meetings: recent evidence from the UK pp. 52-74 Downloads
Lawal Tolulola
Nurturing regional innovation: the effects of bank competition in the USA pp. 75-96 Downloads
Lin Tian and Liang Han

Volume 11, issue 4, 2020

Impact of intellectual capital on bank efficiency in emerging markets: evidence from Ghana pp. 435-460 Downloads
Joseph Mensah Onumah and King Carl Tornam Duho
Assessing the long-term impact of reforms and privatisation on the banking industry of Pakistan pp. 461-494 Downloads
Yaseen Ghulam
Bank diversification and entrepreneurship: evidence across US states pp. 495-520 Downloads
Amit Ghosh
Profit change, Bennet-Bowley productivity and price change indicators pp. 521-544 Downloads
Rolf Färe, Hirofumi Fukuyama and William L. Weber
Did removing prudence from the conceptual framework impact accounting conservatism? pp. 545-587 Downloads
Elaine Conway

Volume 11, issue 3, 2020

Determinants of CSR disclosure in Mexico pp. 303-341 Downloads
Claudia Arena, Yanira Petrides and Petros Vourvachis
Managerial overconfidence and M%A performance: evidence from China pp. 342-360 Downloads
Jie Michael Guo, Qian He, Jiayuan Xin and Jia Liu
Market reaction to the European antitrust investigations in the payment card industry pp. 361-384 Downloads
Francesca Battaglia, Lucia Leonelli and Ornella Ricci
The effect of government involvement and payment method on merger and acquisition performance: the case of China pp. 385-410 Downloads
Matthias Nnadi, Evgeniia Volokitina and Daniel Aghanya
Determinants of price stabilisation in initial public offerings pp. 411-433 Downloads
Antonio Gledson De Carvalho, João Amaro De Matos and Douglas Beserra Pinheiro

Volume 11, issue 2, 2020

Working capital management and financial performance of UK listed firms: a contingency approach pp. 173-201 Downloads
Ishmael Tingbani, Venancio Tauringana, Isaac Sakyi Damoah and Widin Bongasu Sha'ven
The dividend puzzle: testing the signalling hypothesis in a European context pp. 202-226 Downloads
Júlio Lobão, Luís Pacheco and Tiago Lajas
An econometric investigation of hedging performance of stock index futures in Korea: dynamic versus static hedging pp. 227-253 Downloads
Mohammad Hasan, Taufiq Choudhry and Yuanyuan Zhang
Split credit ratings of banks in times of crisis pp. 254-280 Downloads
Surraya Rowe
Going-concern opinions and corporate governance pp. 281-302 Downloads
Ning Ren and Yun Zhu

Volume 11, issue 1, 2020

Basel 3.5 vs. Basel III: a radical overhaul of the capital requirements pillar. The case of commodity exposures pp. 1-34 Downloads
Adrian F. Rossignolo
Cash flow sensitivities and bank-finance shocks in non-listed firms pp. 35-70 Downloads
Charlotte Ostergaard, Amir Sasson and Bent E. Sorensen
The earnings announcements consequences in public family firms pp. 71-94 Downloads
Elisabete F. Simões Vieira
Actively versus passively managed equity ETFs: new empirical insights pp. 95-135 Downloads
Gerasimos G. Rompotis
The propensity to pay dividends: empirical evidence from the MENA region pp. 136-171 Downloads
Panagiotis Andrikopoulos, Osama El-Ansary and Walid Ibrahim Hassan

Volume 10, issue 2, 2019

Time varying volatility and asymmetric news effect during financial crises evidence from DJIA, S%P 500, NASDAQ and FTSE 100 indices pp. 117-143 Downloads
Samer A.M. Al-Rjoub and Hussam Q. Al-Azzam
Risk, competition and cost efficiency in the Chinese banking industry pp. 144-161 Downloads
Yong Tan and Christos Floros
Stock market predictability 2000-2014: the effect of the great recession pp. 162-180 Downloads
Nektarios A. Michail
Leverage and investment: a view of prominent role of state ownership pp. 181-212 Downloads
Thi Phuong Thao Hoang and Duc Nam Phung
Securitisation, loan specialisation and bank risk pp. 213-229 Downloads
Kenneth A. Tah

Volume 10, issue 1, 2019

The WTI/Brent oil futures price differential and the globalisation-regionalisation hypothesis pp. 3-38 Downloads
Michail Filippidis, Renatas Kizys, George Filis and Christos Floros
Reaction of EU stock markets to ECB policy interventions pp. 39-66 Downloads
Dimitrios I. Vortelinos and Konstantinos Gkillas
Forecasting the daily dynamic hedge ratios in emerging European stock futures markets: evidence from GARCH models pp. 67-100 Downloads
Taufiq Choudhry, Mohammad Hasan and Yuanyuan Zhang
Pricing 'partial-average' Asian options with the binomial method pp. 101-116 Downloads
Erwinna Chendra, Kuntjoro Adji Sidarto, Muhammad Syamsuddin and Dila Puspita

Volume 9, issue 2, 2018

Evaluation of merger premium and firm performance in Europe pp. 119-140 Downloads
Matthias Nnadi and Daniel Aghanya
Forecasting private sector bank deposits in Greece: determinants for trend and shock effects pp. 141-169 Downloads
Anastasios Petropoulos, Nikolaos E. Vlachogiannakis and Dionysios Mylonas
Trade-off vs. pecking order theory: evidence from Greek firms in a period of debt crisis pp. 170-191 Downloads
Georgios Chatzinas and Simeon Papadopoulos
A guide to survival of momentum in UK style portfolios pp. 192-224 Downloads
Golam Sarwar, Cesario Mateus and Natasa Todorovic
The relative efficiency of the crude oil futures market: evidence from India pp. 225-243 Downloads
Sarveshwar Kumar Inani

Volume 9, issue 1, 2018

A contingent claims approach to the determinants of the stock-bond return relationship pp. 1-18 Downloads
Louisa Chen and Thanos Verousis
Working capital management, cash flow and SMEs' performance pp. 19-43 Downloads
Godfred Adjapong Afrifa and Ishmael Tingbani
Branch manager characteristics and efficiency during capital controls pp. 44-60 Downloads
Eleftherios Aggelopoulos
Volume weighted volatility: empirical evidence for a new realised volatility measure pp. 61-87 Downloads
Chaiyuth Padungsaksawasdi and Robert T. Daigler
Intraday realised volatility forecasting and announcements pp. 88-118 Downloads
Dimitrios I. Vortelinos and Konstantinos Gkillas

Volume 8, issue 2, 2017

Does money supply growth contain predictive power for stock returns? Evidence and explanation pp. 119-145 Downloads
David G. McMillan
Revising the turn-of-the-month effect study: why does it fade and reappear? Practical policy implications and thoughts for further research pp. 146-173 Downloads
Evangelos Vasileiou
Herding behaviour in a peripheral European stock market: the impact of the subprime and the European sovereign debt crises pp. 174-203 Downloads
Luís G.G. Dos Santos and Sérgio Lagoa
Social networks in banking: a note on co-authorship in banking research pp. 204-216 Downloads
Andreas Andrikopoulos, Aristeidis Samitas and Anastasia Lolou
Geographical disclosure quality under IFRS 8: a European Union analysis pp. 217-242 Downloads
Sameh Kobbi-Fakhfakh

Volume 8, issue 1, 2017

Accounting quality deferred tax and risk in the banking industry pp. 1-19 Downloads
Anestis C. Ladas, Christos I. Negkakis and Angeliki D. Samara
Attributes of audit quality and weak fiscal sustainability countries pp. 20-51 Downloads
Panayiotis D. Tahinakis and Michalis P. Samarinas
Contribution of Islamic banks to systemic risk pp. 52-92 Downloads
Mohamed Amin Chakroun and Mohamed Gallali
Relationship banking and regional SME financing: the case of Wales pp. 93-118 Downloads
Hans Degryse, Kent Matthews and Tianshu Zhao
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