International Journal of Banking, Accounting and Finance
2008 - 2024
From Inderscience Enterprises Ltd Bibliographic data for series maintained by Sarah Parker (). Access Statistics for this journal.
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Volume 11, issue 4, 2020
- Impact of intellectual capital on bank efficiency in emerging markets: evidence from Ghana pp. 435-460

- 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

- Yaseen Ghulam
- Bank diversification and entrepreneurship: evidence across US states pp. 495-520

- Amit Ghosh
- Profit change, Bennet-Bowley productivity and price change indicators pp. 521-544

- Rolf Färe, Hirofumi Fukuyama and William L. Weber
- Did removing prudence from the conceptual framework impact accounting conservatism? pp. 545-587

- Elaine Conway
Volume 11, issue 3, 2020
- Determinants of CSR disclosure in Mexico pp. 303-341

- Claudia Arena, Yanira Petrides and Petros Vourvachis
- Managerial overconfidence and M%A performance: evidence from China pp. 342-360

- 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

- 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

- Matthias Nnadi, Evgeniia Volokitina and Daniel Aghanya
- Determinants of price stabilisation in initial public offerings pp. 411-433

- 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

- 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

- Júlio Lobão, LuÃs Pacheco and Tiago Lajas
- An econometric investigation of hedging performance of stock index futures in Korea: dynamic versus static hedging pp. 227-253

- Mohammad Hasan, Taufiq Choudhry and Yuanyuan Zhang
- Split credit ratings of banks in times of crisis pp. 254-280

- Surraya Rowe
- Going-concern opinions and corporate governance pp. 281-302

- 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

- Adrian F. Rossignolo
- Cash flow sensitivities and bank-finance shocks in non-listed firms pp. 35-70

- Charlotte Ostergaard, Amir Sasson and Bent Sorensen
- The earnings announcements consequences in public family firms pp. 71-94

- Elisabete F. Simões Vieira
- Actively versus passively managed equity ETFs: new empirical insights pp. 95-135

- Gerasimos G. Rompotis
- The propensity to pay dividends: empirical evidence from the MENA region pp. 136-171

- 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

- Samer Al-Rjoub and Hussam Q. Al-Azzam
- Risk, competition and cost efficiency in the Chinese banking industry pp. 144-161

- Yong Tan and Christos Floros
- Stock market predictability 2000-2014: the effect of the great recession pp. 162-180

- Nektarios Michail
- Leverage and investment: a view of prominent role of state ownership pp. 181-212

- Thi Phuong Thao Hoang and Duc Nam Phung
- Securitisation, loan specialisation and bank risk pp. 213-229

- Kenneth Tah
Volume 10, issue 1, 2019
- The WTI/Brent oil futures price differential and the globalisation-regionalisation hypothesis pp. 3-38

- Michail Filippidis, Renatas Kizys, George Filis and Christos Floros
- Reaction of EU stock markets to ECB policy interventions pp. 39-66

- Dimitrios Vortelinos and Konstantinos Gkillas
- Forecasting the daily dynamic hedge ratios in emerging European stock futures markets: evidence from GARCH models pp. 67-100

- Taufiq Choudhry, Mohammad Hasan and Yuanyuan Zhang
- Pricing 'partial-average' Asian options with the binomial method pp. 101-116

- 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

- Matthias Nnadi and Daniel Aghanya
- Forecasting private sector bank deposits in Greece: determinants for trend and shock effects pp. 141-169

- 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

- Georgios Chatzinas and Simeon Papadopoulos
- A guide to survival of momentum in UK style portfolios pp. 192-224

- Golam Sarwar, Cesario Mateus and Natasa Todorovic
- The relative efficiency of the crude oil futures market: evidence from India pp. 225-243

- Sarveshwar Kumar Inani
Volume 9, issue 1, 2018
- A contingent claims approach to the determinants of the stock-bond return relationship pp. 1-18

- Louisa Chen and Thanos Verousis
- Working capital management, cash flow and SMEs' performance pp. 19-43

- Godfred Adjapong Afrifa and Ishmael Tingbani
- Branch manager characteristics and efficiency during capital controls pp. 44-60

- Eleftherios Aggelopoulos
- Volume weighted volatility: empirical evidence for a new realised volatility measure pp. 61-87

- Chaiyuth Padungsaksawasdi and Robert T. Daigler
- Intraday realised volatility forecasting and announcements pp. 88-118

- Dimitrios 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

- 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

- Evangelos Vasileiou
- Herding behaviour in a peripheral European stock market: the impact of the subprime and the European sovereign debt crises pp. 174-203

- LuÃs G.G. Dos Santos and Sérgio Lagoa
- Social networks in banking: a note on co-authorship in banking research pp. 204-216

- Andreas Andrikopoulos, Aristeidis Samitas and Anastasia Lolou
- Geographical disclosure quality under IFRS 8: a European Union analysis pp. 217-242

- Sameh Kobbi-Fakhfakh
Volume 8, issue 1, 2017
- Accounting quality deferred tax and risk in the banking industry pp. 1-19

- Anestis C. Ladas, Christos I. Negkakis and Angeliki D. Samara
- Attributes of audit quality and weak fiscal sustainability countries pp. 20-51

- Panayiotis D. Tahinakis and Michalis P. Samarinas
- Contribution of Islamic banks to systemic risk pp. 52-92

- Mohamed Amin Chakroun and Mohamed Gallali
- Relationship banking and regional SME financing: the case of Wales pp. 93-118

- Hans Degryse, Kent Matthews and Tianshu Zhao
Volume 7, issue 2, 2016
- The 2016 EU-wide bank stress test: an analysis of the main methodological novelties pp. 95-110

- Andrea Resti
- Venture capital investment, regional innovation and new business creation: a research note pp. 111-124

- Douglas Dyer, Iftekhar Hasan, Haizhi Wang and Desheng Yin
- Urban agglomeration and audit pricing pp. 125-148

- Stergios Leventis
- Do the Troika's financial assistance programs reduce systemic risk? Evidence from Eurozone countries pp. 149-171

- Konstantinos A. Moutsianas and Kyriaki Kosmidou
- Threshold cointegration and interest rate pass-through during the pre- and post-banking consolidation in Nigeria: are there asymmetries? pp. 172-193

- Aliyu Alhaji Jibrilla and Normaz Wana Ismail
Volume 7, issue 1, 2016
- Dispelling the myth of a value premium: contrary evidence of Malaysian crony capitalism pp. 1-33

- Muhammed-Shahid Ebrahim, Robert Hudson, Abdullah Iqbal and Mohamed Shah
- Determinants of bank profitability: a comparative study of East Asia and Latin America pp. 34-51

- Rubi Ahmad, Eric H.Y. Koh and Shahrin Saaid Shaharuddin
- Assessing the overall performance of microfinance institutions pp. 52-83

- Chrysovalantis Gaganis
- The convexity of the earnings yield: does the dividend payout policy matter? pp. 84-94

- Boonlert Jitmaneeroj
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