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The Review of Finance and Banking

2009 - 2020

Current editor(s): Victor Dragota; Bogdan Negrea

From Academia de Studii Economice din Bucuresti, Romania / Facultatea de Finante, Asigurari, Banci si Burse de Valori / Catedra de Finante
Strada Mihai Eminescu nr.13-15, sector 1, Bucuresti, Romania.
Contact information at EDIRC.

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Volume 12, issue 2, 2020

Abstract: Digitalization has gained momentum in recent years in all sphere of life around the globe. It has become an important factor of defining modernization, and instrumental in speeding up economic growth by ensuring more transparency. After demonetization and emphasis on cashless transaction, digitalized mode of payment is being prioritized. Accordingly, government of India launched several schemes focusing on imparting training on digital literacy, but research shows that a section of population is still not adopting this digitalization process. This study tries to find the factors responsible for excluding a section of the people, especially the people of rural and semi urban area from this digitalized system. Accordingly, a survey was conducted with the bamboo craft man of Raipur cluster of Barpeta District of Assam, India, who is involved in small enterprises involving bamboo crafting. Direct interaction was being done with the respondents regarding the various problems and inconvenience faced in adapting the new system. A logit regression model has been used to highlight the impact of various socio-economics factors, level of awareness about the new system of digitalization on their adaptability to the digitalized mode of payment pp. 103-114 Downloads
Polakshi Bhattacharyya Baruah and Anupam Dutta
Does Trading Volume explain the Information Flow of Crude Palm Oil Futures Returns? pp. 115-136 Downloads
You-How Go and Wee Yeap Lau
Network Risk in the European Sovereign CDS Market pp. 137-154 Downloads
Zornitsa Todorova
Principal Factors Measuring Service Quality: A Study of Selected Banks in India pp. 155-174 Downloads
Vaishali Pagaria
The Role of Foreign Direct Investment in Stock Market Development in Nigeria: A Test of Complementarity pp. 175-187 Downloads
Gbenga Festus Babarinde
Empirical Relationship between Macroeconomic Variables and Stock Prices of Indian Banking Sector: A Vector Error Correction Model Approach pp. 189-198 Downloads
Aastha Khera and Neelam Dhanda

Volume 12, issue 1, 2020

Impediments in Use of Financial Services: Evidence from North East India pp. 7-18 Downloads
Sankharaj Roy
Determinants of Venture Capital Investment in India: A Time Series Analysis pp. 19-30 Downloads
Mohammad Mustafa and Syed Shahid Mazhar
Liquidity Risk Management of Affiliated Banks during the Sub-prime Mortgage Crisis pp. 31-47 Downloads
Nilufer Ozdemir
Effects of merger and acquisition announcements on stock returns: an empirical study of banks listed on NSE & NYSE pp. 49-62 Downloads
Dharen Kumar Pandey and Vineeta Kumari
Asymmetric impacts of oil price shocks on unemployment: Evidence from Nigeria pp. 63-78 Downloads
Anthony Akinlo
Multivariate VaR: A Romanian Market study pp. 79-95 Downloads
Andrei Rusu

Volume 11, issue 2, 2019

Competition and Stability in African Banking pp. 43-57 Downloads
Simeon Papadopoulos
The Impact of Dividend Events on Stock Returns: Findings on Companies Listed on the Bucharest Stock Exchange pp. 59-78 Downloads
Hanaan Yaseen and Ruxandra Trifan
Does IPO Grading Impact Price Effciency in India? pp. 79-90 Downloads
Kedar Mukund Phadke and Manoj S Kamat
Domestic Investment in Africa: Why the Emerging Public Debt Spiral Matters? pp. 91-101 Downloads
Fisayo Fagbemi and Olufemi Solomon Olatunde

Volume 11, issue 1, 2019

The liquidity premium: Evidence from the Polish stock market pp. 7-13 Downloads
Cristina Ganja
Do real exchange rate changes have symmetric or asymmetric effects on trade balance in Nigeria? Evidence from Non-linear ARDL Model pp. 14-23 Downloads
Onatunji Olufemi
Petroleum subsidy and its impact on tax revenue volatility pp. 24-36 Downloads
Matthew Gidigbi, Kehinde M. Bello and Gbenga Babarinde

Volume 10, issue 2, 2018

Dividend payout, abnormal returns, and earnings growth of cross-listed firms. The situation in the Four Tigers pp. 065-076 Downloads
Yi-Pei Chen and Askar Koshoev
Dividend policy and socio-cultural factors: some preliminary findings pp. 077-094 Downloads
Hanaan Yaseen
Market-Level Sports Sentiment: The case of the Romanian Frontier Stock Market pp. 095-0108 Downloads
Dan Gabriel Anghel

Volume 10, issue 1, 2018

Ranking of current information technologies by risk and regulatory compliance officers at financial institutions – a German perspective pp. 007-026 Downloads
Michael Becker and Rüdiger Buchkremer
Fiscal multipliers in Romania pp. 026-046 Downloads
Voinescu Ioan-Vlad
Turn-of-the-month and day-of-the-week patterns: two for the price of one? The Romanian situation pp. 047-058 Downloads
Elena Tilica

Volume 09, issue 2, 2017

"I'll Think about it Tomorrow": Price Drifts Following Large Pre-Holiday Stock Price Moves pp. 043-062 Downloads
Andrey Kudryavtsev
Taylor rule in a policy-mix analysis for open heterogeneous monetary unions pp. 063-081 Downloads
Cristina Badarau and Andreea Curmei-Semenescu

Volume 09, issue 1, 2017

Assessing competition in the European Union banking sector pp. 007-026 Downloads
Bogdan Capraru and Nicoleta-Livia Pintilie
Twenty years of Stability and Growth Pact pp. 027-036 Downloads
Sandina Maria Jeloaica

Volume 08, issue 2, 2016

Does Free Float Affect Shareholder Wealth? New Evidence from the Stock Exchange of Thailand pp. 043-053 Downloads
Pattaragit Netiniyom
Discrete Portfolio Adjustment with Fixed Transaction Costs pp. 055-060 Downloads
Linus Wilson
An Empirical Investigation of the Firm- and Country- Specific Debt Determinants in Four Nordic Countries pp. 061-075 Downloads
Ingrid Dragota and Aura-Cristina Stefan-Dobrin

Volume 08, issue 1, 2016

Internal Financial Markets and Corporate Investment Strategies in Africa — A Case Study of Mauritius pp. 007-020 Downloads
Prayagsing Chakeel Coomar and Jankee Kheswar
Non-linear Panel Data Analysis for Capital Structure and Its Impact on Profitability pp. 021-036 Downloads
Sorana Vatavu

Volume 07, issue 2, 2015

On a Class of Alpha-stable Distributions and Its Applications in Estimating Market Risk pp. 007-015 Downloads
Daniel Traian Pele and Vasile Nicolae Stanciulescu
The Interval Effect in Estimating Beta: Empirical Evidence from the Romanian Stock Market pp. 016-025 Downloads
Dragos Stefan Oprea

Volume 07, issue 1, 2015

Generalized Hyperbolic Distributions: Empirical Evidence on Bucharest Stock Exchange pp. 007-018 Downloads
Olivia Andreea Baciu
Does Exchange Rate Affect Remittances in Nigeria? pp. 031-045 Downloads
Ebenezer Olubiyi and Kubrat O. Kehinde

Volume 06, issue 2, 2014

Forensic Finance: Market Abuse and Price Manipulation in Security Markets on the Trail pp. 047-067 Downloads
Marija Corluka and Edwin Fischer
Main Romanian Commercial Banks’ Systemic Risk during Financial Crisis: a CoVar Approach pp. 069-080 Downloads
Gabriela Anghelache and Dumitru-Cristian Oanea
Output Spillovers from Trade and Financial Linkages in Central and Eastern European Countries: A Panel Analysis pp. 081-096 Downloads
Bogdan Muraraşu and Alina Bobasu

Volume 06, issue 1, 2014

Insider Trading, Market Efficiency, and Regulation - A Literature Review pp. 007-014 Downloads
Yogesh Chauhan, Chakrapani Chaturvedula and Viswanathan Iyer
Informational Efficiency Tests on the Romanian Stock Market: A Review of the Literature pp. 015-028 Downloads
Victor Dragotă and Dragos Stefan Oprea
The Month-of-the-Year Effect in Post-Communist East European Stock Markets pp. 029-040 Downloads
Elena Tilica

Volume 05, issue 2, 2013

Portfolio Diversification Benefits In Shipping Industry: A Cointegration Approach pp. 017-128 Downloads
Sinem Derindere Koseoglu and Ali Ozgür Karagülle
How Reliable is the Moving Average Crossover Rule for an Investor on the Romanian Stock Market? pp. 089-115 Downloads
Dan Gabriel Anghel
Institutional Investor Recognition on Financial Asset Tranches: A Study of The Thai Property Sector pp. 129-144 Downloads
Pattaragit Netiniyom
Testing the Turn-of-the-Year Effect on Baltic Stock Exchanges pp. 145-154 Downloads
Priit Sander and Risto Veiderpass

Volume 05, issue 1, 2012

Investment Cash Flow Sensitivity and Managerial Optimism: A Literature Review via the Classification Scheme Technique pp. 007-026 Downloads
Ezzeddine Ben Mohamed, Baccar Ame and Abdelfatteh Bouri
The Predictability of the Socially Responsible Investment Index: A New TMDCC Approach pp. 027-034 Downloads
Yen-Hsien Lee
Monetary Policy Rules for a Developing Countries: Evidence from Tunisia pp. 035-046 Downloads
Imen Mohamed Sghaier and Zouheir Abida
Empirical Comparison of Robust Portfolios’ Investment Effects pp. 047-061 Downloads
Bartosz Kaszuba
Workers’ Remittances, Governance Institution and Private Investment in Nigeria pp. 063-081 Downloads
Ebenezer Olubiyi
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