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The Review of Finance and Banking

2009 - 2023

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.

Bibliographic data for series maintained by Tatu Lucian ().

Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.


Volume 15, issue 2, 2023

Investigating the Impact of ICT-Enabled Business Correspondent Model on Financial Inclusion pp. 89-100 Downloads
Mohd Adnan, Jaidev Singh Negi and Rashika Kumari
Indian Stock Market Regularity: The Turn of the Month Effect pp. 101-118 Downloads
Nemani Satish and Bheemanagouda
Performance and Network Analysis of Research in Stock Market Anomalies pp. 119-135 Downloads
Sumayya Chulliyil Valappil and Thodiyil Mohamed Nishad
Mindset to Money: How Gender Impacts the Relationship between Self-Efficacy and Financial Satisfaction pp. 137-148 Downloads
Shakira Mukhtar, Anisa Jan, Hadiya Altaf and Danish Mehraj
Extending Digital Payment System Adoption to Satisfaction: Empirical Evidence from Indian Rural Households pp. 149-168 Downloads
Geetha. K and K. Kanniammal
Financial Inclusion as a Panacea for Income Inequality in Nigeria pp. 169-180 Downloads
Samuel Orekoya and Oluwatoyin Akintunde
Value at Risk Estimation for Non-Gaussian Distributions pp. 181-190 Downloads
Codrut Florin Ivascu and Daniela Serban

Volume 15, issue 1, 2023

Re-visiting the Validity of Phillip’s Curve in the Context of the BRICS Countries pp. 7-16 Downloads
Umaru Aminu, Ejila Solomon Oxford Ali, Dogo Bishara Saidu and Yunana Nancy Zigwai
Implication of Goods and Service Tax on State’s Revenue Efficiency: An Empirical Study on Indian States pp. 17-28 Downloads
Shubham Garg, Karam Pal Narwal and Sanjeev Kumar
Adoption of Digital Financial Services and the Performance of Commercial Banks in India – A Camel Rating System Approach pp. 29-40 Downloads
Sreekanth P. V. and Kiran K. B.
Higher Educational Financing – A Utilitarian Approach pp. 41-48 Downloads
Jithendran S., Rajeev Kumar A.D. and Sreeanandan
Influence of Personality Traits and Behavioural Biases on Irrational Investment Decision Making of Public Officials pp. 49-63 Downloads
Rathi K. N. and Geetha D.
Efficiency Appraisal of Life Insurance Industry in India- Public versus Private Players pp. 65-81 Downloads
Aparna Bhatia and Megha Mahendru

Volume 14, issue 2, 2022

Merger and Acquisition Announcement of Indian Banking Sector: A Pre-Post Analysis of Stock Market Reaction pp. 89-105 Downloads
Mahesh Dahal and Joy Das
Determinants of Stock Market Liquidity. The Quantifiable Effects of Psychic Distance Stimuli pp. 107-120 Downloads
Andrei Dimcea
Assessing the long-run and short-run effect of monetary variables on stock market in the presence of structural breaks: evidence from liberalised India pp. 121-131 Downloads
Animesh Bhattacharjee and Joy Das
Regulator’s Decision and Risk Management: The Case of India pp. 133-142 Downloads
G.K. Chetan Kumar, K.B. Rangappa and Suchitra S
Behavior of Financial Markets Around News Announcements: A Review Based on Bibliometric Analysis of Scientific Fields pp. 143-172 Downloads
Neenu C and T Mohamed Nishad

Volume 14, issue 1, 2022

Modelling and forecasting Nifty 50 using hybrid ARIMA-GARCH Model pp. 7-20 Downloads
Parminder Kaur and Ravi Singla
Asymmetric Volatility and Leverage Effect in Stock Market: A Bibliometric Review pp. 21-34 Downloads
Neenu C and T Mohamed Nishad
Factors’ Influencing Driving Demand of Cryptocurrency and its Impact on Behavioral Intention: An Indian Perspective pp. 35-43 Downloads
Jyoti Verma
Forecasting inflation using machine learning techniques pp. 45-55 Downloads
Musa Nakorji and Umaru Aminu
Contagious investor sentiments and their volatilities pp. 57-81 Downloads
Askar Koshoev

Volume 13, issue 2, 2021

Effect of Debt to Equity Ratio and Firm Size of Return on Assets on Manufacturing Company in Indonesia Stock Exchange pp. 99-108 Downloads
Junaidi and Muksal and Muksal
The determinants of Financial Inclusion and Digital Financial Inclusion in India: A Comparative Study pp. 109-120 Downloads
Srinivasu Bathula and Ankita Gupta
Commitment to capital raising for venture capital funds in India: An Application of ARDL Model pp. 121-133 Downloads
Mohammad Mustafa and Syed Shahid Mazhar
Governmental Announcements and Indian Stock Market: Evidence from Indian Manufacturing Sector pp. 134-146 Downloads
Mahesh Dahal and Joy Das
Bank Revolving Credit as a Channel of Monetary Policy pp. 147-160 Downloads
Mujtaba Zia and Jennifer Logan

Volume 13, issue 1, 2021

Attention to the Election-Economics-Politics (EEP) Nexus in the Indian Stock Markets pp. 7-32 Downloads
Paritosh Sinha
Bank-Based versus Stock Market-Based Development in Nigeria: A Fully-Modified Ordinary Least Squares Approach pp. 33-45 Downloads
Samuel Orekoya, Joseph Afolaby and Oluwatoyin Akintunde
Domestic and Foreign Transmission of the Global Financial Crisis in the Real Economy. The Polish Situation pp. 47-60 Downloads
Elena Tilica
Estimation of Correlation between Capital Markets. Analysing the case of Central and Eastern European markets in the context of the COVID-19 pandemic pp. 61-78 Downloads
Alina Zaharia
Corporate governance features among European Union countries – an exploratory analysis pp. 79-91 Downloads
Iustina Boitan and Ewa Wanda Maruszewska

Volume 12, issue 2, 2020

Factors Affecting the Adaptability of Digitalized mode of Payment among the Small Traders: A Logit Model Analysis 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 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 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
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