International Journal of Financial Research
2010 - 2021
Current editor(s): Gina Perry From International Journal of Financial Research, Sciedu Press Bibliographic data for series maintained by Gina Perry (). Access Statistics for this journal.
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Volume 7, issue 5, 2016
- Is S&P100 Index a Mean-Variance Efficient Portfolio? pp. 1-6

- Mohammad G. Robbani and Ajeet Jain
- R&D Investment and Market Reactions in Non-crisis and Crisis Periods: Evidence from Taiwan pp. 7-18

- Shu-Ching Chou and Thanh Long Phan
- Why Hire a Big 4 Auditor 500 Miles Away? pp. 19-41

- Lily Brooks and Michael D. Yu
- Beta and Size Revisited: Evidence from the French Stock Market pp. 42-50

- Bing Xiao
- On the Systematic Downside Risk Measure: A Note pp. 51-55

- Yin-Ching Jan
- Lecturer¡¯s Working Environment and Teaching Competence in Selected Agricultural Colleges in Vietnam pp. 56-76

- Duong Thai Le and Cuong Hung Pham
- Does Dividend Policy Affect Firm Earnings? Empirical Evidence from Nigeria pp. 77-86

- Ifuero Osad Osamwonyi and Iyobosa Lola-Ebueku
- Assessing Performance of Liquidity Adjusted Value-at-Risk Models pp. 87-98

- Vandana Rao Daka and Sankarshan Basu
- Estimation for Production Factors in World Major Economies pp. 99-109

- Yunhong Chen and Qiang Jiang
- Macroeconomics, Firm-Specific Factors and Stock Liquidity: An Empirical Evidence from Jordan pp. 110-123

- Wasfi A. Al Salamat
- The Critical Success Factors for Implementation of Electric Customer Relationship Management in the Commercial Bank of Viet Nam pp. 124-139

- Thuy Van Nguyen and Cuong Hung Pham
- The Importance of Human Inequalities and Health Care Quality in Life Expectancy of Countries pp. 140-145

- Orhan Kandemir
- Intensive Board Monitoring and Firm Value: An Empirical Analysis in the Context of Saudi Arabia pp. 146-164

- Hanan Alhussayen and Ridha Shabou
- The Determinants of the Choice of Alternative Financing Methods of SMEs in Bank Credit Rationing: Evidence from Cameroon pp. 165-175

- Benjamin Yamb and Noe Ndjeck
- An Empirical Analysis of Volatility Characteristics of Inter-Bank Offered Rate of International Financial Centers pp. 176-189

- Maoguo Wu and Xin Luo
- Internal Mechanisms of Governance and Risk Bearing of Banks: The Case of the CEMAC Zone pp. 190-202

- Etienne Fran?ois Eloundou and Doris Mireille Befen Djinja
- The Relationship between Listing Requirements and Market Quality: An Examination Using NASDAQ¡¯s Tiered Market Structure pp. 203-220

- Kevin D. Broom and Jason S. Turner
Volume 7, issue 4, 2016
- International Parity Relations and Economic Shock: Evidence from Swiss Franc Unpegging pp. 1-13

- Hoje Jo, Julian Dixon, Toshi Masubuchi, Manali Parmar and Stuti Rastogi
- Momentum for Independent versus Group Firms pp. 14-17

- Hsiao-Peng Fu
- Predicting the Volatility of the Russell 3000 Stock Index pp. 18-28

- Bing Xiao
- Faith Based Investing (FBI) Fund Performance: Luck or Skill? pp. 29-32

- Praveen Das and S. P. Uma Rao
- Impact of Foreign Direct Investment (FDI) on Economic Growth in WAEMU from 1990 to 2012 pp. 33-43

- Galaye Ndiaye and Helian Xu
- Financial Development and Poverty Reduction: Exploring the Links between the Issues Using Evidence from Bangladesh pp. 44-65

- Joynal Abdin
- Management Control and Takeover Premiums pp. 66-95

- Trevor W. Chamberlain and Maxime Fabre
- The Impact of Oil Price Shocks on the Economic Growth and Development of Cross River State, Nigeria pp. 96-104

- Amenawo Ikpa Offiong, Ignatius Ahmed Atsu, Edward Ajaude and Bassey Ina Ibor
- The Impact of Macroeconomic Factors on Credit Risk in Conventional Banks and Islamic Banks: Evidence from Indonesia pp. 105-116

- Huey-Yeh Lin, Nuraeni Hadiati Farhani and Meihua Koo
- The Use of Gulf Cooperation Council Currencies in Carry Trade: A Case Study of United Arab Emirates Dirham pp. 117-128

- Musaed AlAli
- Accounting Conservatism Trends and Financial Distress: Considering the Endogeneity of the C-Score pp. 149-167

- Hui-Sung Kao and Pei-Jhen Sie
- The Role of Real Estate Derivatives in Hedging Real Estate: An Empirical Analysis of the U.S. Commercial Market pp. 168-174

- Cem Berk
- Don¡¯t Put All of Your Alums in One Basket: College Admissions Decisions as a Portfolio Choice Problem pp. 175-179

- Logan Dahl and Daniel K.N. Johnson
- Financial Statement and Competitiveness Analysis: A Study on Tourism & Hospitality Industry in Bangladesh pp. 180-189

- Tanvir Mohammad Hayder Arif, Kazi Noor-E- Jannat and S.M. Rakibul Anwar
- An Examination of the Relationship of Corporate Governance to Firm Performance: Empirical Evidence from Vietnamese Listed Companies pp. 190-197

- Nguyen Ngoc Dieu Le and Nguyen Ngoc Dieu Thi
- The Effect of External Debt on Inflation Rate in Kenya, 1972-2012 pp. 198-207

- Fredrick Tsofa Mweni, Amos Njuguna and Timothy Oketch
- The Effect of Changing the Listing Level on the Information Environment of ADRs pp. 208-241

- Candice L. Deal
Volume 7, issue 3, 2016
- A Critical Analysis of the Value Chain in the Rice Industry and Its Effects on the Export Rice Industry in Kien Giang Province, Vietnam pp. 1-12

- Bach Van Ngoc, Cuong Hung Pham and Nhan Hoang Vo
- Factors Affecting the Performances of Internet Banking: A Case of Vietnam Commercial Banks pp. 13-27

- Binh Anh Huynh, Nhan Hoang Vo and Cuong Hung Pham
- Seasonality Effect on the Vietnamese Stock Exchange pp. 28-40

- Chung Tien Luu, Cuong Hung Pham and Long Pham
- Total Quality Management and Financial Performance of Construction Companies in Ha Noi pp. 41-53

- Anh Duy Nguyen, Cuong Hung Pham and Long Pham
- Top Management Support, Organizational Learning, Innovative Behavior, Employee Commitment and Organizational Performance of Manufacturing Companies in Hai Phong pp. 54-64

- Tuyen Khac Pham, Cuong Hung Pham and Long Pham
- The Competitive Advantages of Vietnam Footwear Industry: An Analysis pp. 65-80

- Xuan Thi Thanh Phan, Cuong Hung Pham and Long Pham
- Assessing the Education and Training Strategy of Selected Colleges Responding to the Needs of Highly Qualified Professional pp. 81-95

- Vu Quach, Nhan Hoang Vo and Cuong Hung Pham
- Job Stress, Involvement, Satisfaction and Performance of Employees in Garment 10 Corporation in Vietnam pp. 96-109

- Viet Duc Than, Cuong Hung Pham and Long Pham
- Predictors of Performance of the ERP Adpopters in the Companies of LILAMA pp. 110-120

- Khanh Viet Tran, Cuong Hung Pham and Long Pham
- Service Quality and Students Level of Satisfaction in Private Colleges in Vietnam pp. 121-128

- Hung Van Truong, Cuong Hung Pham and Nhan Hoang Vo
Volume 7, issue 2, 2016
- Linking Quality Management Practices and Effective Knowledge Integration to New Product Development (NPD): An Empirical Study of Saudi-firms pp. 1-10

- Abdullah Mohammed Aldakhil
- The Monthly Effect and the Day of the Week Effect in the American Stock Market pp. 11-17

- Bing Xiao
- Comparison of the Effectiveness of Audit Committees in the UK and Turkish Banks pp. 18-29

- Nizamulmulk Gunes and M. Serkan Atilgan
- The Importance of Being Steve: An Econometric Analysis of the Contribution of Steve Jobs¡¯s Patents to Apple¡¯s Market Valuation pp. 30-38

- Daniel K.N. Johnson and Sylvie Scowcroft
- Are Institutional Investors Beneficial to Family Firm Performance? Evidence from the French Stock Exchange pp. 39-52

- Olivier Colot and Jonathan Bauweraerts
- Relationship between Bank Credit and Economic Growth: Evidence from Jordan pp. 53-63

- Izz eddien Ananzeh
- Managing Risk in Livestock Farming: The Role of Insurance Companies pp. 64-72

- Sanam Jokhio, Muhammad Moinuddin Qazi Abro and Lamya Alaali
- Will the Information Disclosure Quality Reduce the Executives¡¯ Excess Perks? - Evidence from China pp. 73-83

- Han Li
- Is ¡®Excess¡¯ Board Independence Good for Firm Performance? An Empirical Investigation of Non-financial Listed Firms in Saudi Arabia pp. 84-92

- Basmah Altuwaijri and Lakshmi Kalyanaraman
- Testing Explanatory Power of Two Behavioral Models for Price Continuation pp. 93-97

- Hsiao-Peng Fu
- Forecasting Portfolio Balance Using Return Mean, Standard Deviation and Spending pp. 98-121

- Jeffry Haber and Andrew Braunstein
- Hysteresis Effect on Unemployment for Men and Women: A Panel Unit Root Test for OECD Countries pp. 122-133

- Selahattin Bekmez and Asli Ozpolat
- The Effects of Tariff Policy under the Fixed Exchange Rate Regime pp. 134-146

- Chung-Fu Lai
- Predicting Bankruptcy in Private Firms: Towards a Stepwise Regression Procedure pp. 147-153

- Jonathan Bauweraerts
- The Impact of External Debt and Foreign Direct Investment on Economic Growth: Empirical Evidence from Tanzania pp. 154-162

- Moga Tano Jilenga, Helian Xu and Igor-Mathieu Gondje-Dacka
- ¡°Impact of EXPO 2020 on Dubai Financial Market¡± ¨C An Event Study on Banks, Investment and Insurance Sectors pp. 163-170

- Ganga Bhavani and Sai Geetha Kukunuru
- An Empirical Research on Investor Biases in Financial Decision-Making, Financial Risk Tolerance and Financial Personality pp. 171-182

- Bilgehan K¨¹bilay and Ali Bayrakdaroglu
- The Role of Industry Effect and Market States in Taiwanese Momentum pp. 183-188

- Hsiao-Peng Fu
- Emerging Equity Markets Connectedness, Portfolio Hedging Strategies and Effectiveness pp. 189-201

- Nizar Harrathi, Chaker Aloui, Mohamed Ali Houfi and Jihed Majdoub
- The Effects of Foreign and Illegal Labourers Phenomenon on the Availability of Employment Opportunities for the Saudi Youth in the City of Jeddah pp. 202-213

- Nayef Al-Ghamri
- The Teaching of Financial Services Regulation: A Contextual View pp. 214-224

- John. A. Consiglio
- Does Size Favor Dividends or Retained Earnings? pp. 225-232

- Bashar K Abu Khalaf
- Investigating the Determinants of Inflation: A Panel Data Analysis pp. 233-246

- Pinar Deniz, Mahmut Tekce and Ahmet Yilmaz
- Relationship between Board Remuneration and Financial Performance in the Kenyan Financial Services Industry pp. 247-255

- Rita Ruparelia and Amos Njuguna
Volume 7, issue 1, 2016
- Cross-cultural Differences in Interpreting IAS 37 Probability Phrases pp. 1-8

- Ning Du, Kevin Stevens, John Ahern and Anton Shigaev
- An Investigation of the Recent Linkages of Consumer Prices in Japan pp. 9-17

- Chikashi Tsuji
- Changes in the Number of Varieties, Consumption Home Bias and Long-Run Macroeconomic Fluctuations pp. 18-32

- Chung-Fu Lai
- Loan as a Durable Good and Bank Indirect-Tax Incidence pp. 33-38

- Gerasimos Soldatos and Erotokritos Varelas
- Risk Classification in Natural Catastrophe Insurance: The Case of Italy pp. 39-49

- Donatella Porrini
- An Assessment on Graham¡¯s Approach for Stock Selection: The Case of Turkey pp. 50-56

- Nuray Terzi
- La Dolce Vita in Japan: The Effect of Bank Mergers on Corporate Governance pp. 57-65

- Heather Montgomery and Yuki Takahashi
- Effects of Financial Crisis on Capital Structure of Listed Firms in Vietnam pp. 66-74

- Truong Trinh and Nguyen Thao Phuong
- An Empirical Investigation into the Applicability of Fama-French Three Factor Model in Explaining Portfolio Returns: Evidence from Non-Financial Firms on the Ghana Stock Exchange pp. 75-85

- Prince Acheampong and Sydney Kwesi Swanzy
- A Collective Consideration of the EU¡¯s Capital Market Legislation pp. 86-90

- John A. Consiglio
- The Analysis of Bank Deposits through Spatial Modelling by Provinces pp. 91-100

- Ozlem Deniz Basar and Elif Guneren Genc
- Food Consumption Pattern in Eskisehir pp. 101-108

- Amir Azam and Hakan Acaroglu
- The Relationship between Total Production and Public Spending in Mexico: Keynes versus Wagner pp. 109-120

- Isaac Sánchez-Juárez, Rosa M. Garcia Almada and Hector Barajas Bustillos
- The Dynamics of Oil and Stock Prices Comovements pp. 121-129

- Claire G. Gilmore, Ginette M. McManus, Rajneesh Sharma and Ahmet Tezel
- The Effect of the Perception of Deposit Bank Rate, Quality of Service, and the Using of Banking Technology towards Rural Fellow¡¯s Interest to Save Money in Bank Rakyat Indonesia Inc. Unit Wates ¨C Blitar pp. 130-134

- Ria Prasetyo, Dwi Wulandari and Imam Mukhlis
- Large Shareholder¡¯s Identity and Stock Price Synchronicity: Evidence from a MENA Market pp. 135-153

- Adel Bino, Diana Abu-Ghunmi, Mohammad Tayeh and Dua¡¯a Shubita
- An Analysis on the Behaviour of Corporate Social Responsibility towards Profitability of Islamic Banks: Asean and Europe pp. 154-166

- Akhmad Affandi Mahfudz, Muhammad Safizal Abdullah, Arman Hadi Abdul Manaf and Abdullah Osman
- Is Capital Investment Indeed Not Affected by the Market Cost of Capital in the Regulated Energy and Utility Industry? A Reexamination of the Averch-Johnson Model pp. 167-171

- Ken Hung, Hui Wen Cheng, Ching Wen Chi and Shih-shen Chen
- A Robust Set of Indicators for the Financial Stress and Financial Stability: Taiwan¡¯s Case Studies pp. 172-188

- Chau-Jung Kuo, Yu-Wei Li and Li-Hua Lai
- Effective Financial Management of Supply Chain through the Use of Emerging Technology pp. 189-194

- Abdullah Mohammed Aldakhil
- Opting for a Controlled-Firm Majority Independent Directors Exemption to NYSE or NASDAQ Listing Requirements: Much Ado about Nothing? pp. 195-206

- Jeffery A. Born
- Effects of Shadow Banking on Return ¡ª Empirical Study Based on Chinese Commercial Banks pp. 207-218

- Jingyu Tang and Yanling Wang
- Analysis of Regional Supporting Force for the Development of Industrial Area in Order to Improve Regional Income in East Java, Indonesia pp. 219-225

- Sugeng Hadi Utomo
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