The Review of Finance and Banking
2009 - 2024
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.
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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

- Polakshi Bhattacharyya Baruah and Anupam Dutta
- Does Trading Volume explain the Information Flow of Crude Palm Oil Futures Returns? pp. 115-136

- You-How Go and Wee Yeap Lau
- Network Risk in the European Sovereign CDS Market pp. 137-154

- Zornitsa Todorova
- Principal Factors Measuring Service Quality: A Study of Selected Banks in India pp. 155-174

- Vaishali Pagaria
- The Role of Foreign Direct Investment in Stock Market Development in Nigeria: A Test of Complementarity pp. 175-187

- Gbenga Babarinde
- Empirical Relationship between Macroeconomic Variables and Stock Prices of Indian Banking Sector: A Vector Error Correction Model Approach pp. 189-198

- Aastha Khera and Neelam Dhanda
Volume 12, issue 1, 2020
- Impediments in Use of Financial Services: Evidence from North East India pp. 7-18

- Sankharaj Roy
- Determinants of Venture Capital Investment in India: A Time Series Analysis pp. 19-30

- Mohammad Mustafa and Syed Shahid Mazhar
- Liquidity Risk Management of Affiliated Banks during the Sub-prime Mortgage Crisis pp. 31-47

- Nilufer Ozdemir
- Effects of merger and acquisition announcements on stock returns: an empirical study of banks listed on NSE & NYSE pp. 49-62

- Dharen Pandey and Vineeta Kumari
- Asymmetric impacts of oil price shocks on unemployment: Evidence from Nigeria pp. 63-78

- Anthony Akinlo
- Multivariate VaR: A Romanian Market study pp. 79-95

- Andrei Rusu
Volume 11, issue 2, 2019
- Competition and Stability in African Banking pp. 43-57

- Simeon Papadopoulos
- The Impact of Dividend Events on Stock Returns: Findings on Companies Listed on the Bucharest Stock Exchange pp. 59-78

- Hanaan Yaseen and Ruxandra Trifan
- Does IPO Grading Impact Price Effciency in India? pp. 79-90

- Kedar Mukund Phadke and Manoj S Kamat
- Domestic Investment in Africa: Why the Emerging Public Debt Spiral Matters? pp. 91-101

- Fisayo Fagbemi and Olufemi Solomon Olatunde
Volume 11, issue 1, 2019
- The liquidity premium: Evidence from the Polish stock market pp. 7-13

- 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

- Onatunji Olufemi
- Petroleum subsidy and its impact on tax revenue volatility pp. 24-36

- 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

- Yi-Pei Chen and Askar Koshoev
- Dividend policy and socio-cultural factors: some preliminary findings pp. 077-094

- Hanaan Yaseen
- Market-Level Sports Sentiment: The case of the Romanian Frontier Stock Market pp. 095-0108

- 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

- Michael Becker and Rüdiger Buchkremer
- Fiscal multipliers in Romania pp. 026-046

- 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

- 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

- Andrey Kudryavtsev
- Taylor rule in a policy-mix analysis for open heterogeneous monetary unions pp. 063-081

- Cristina Badarau and Andreea Curmei-Semenescu
Volume 09, issue 1, 2017
- Assessing competition in the European Union banking sector pp. 007-026

- Bogdan Capraru and Nicoleta-Livia Pintilie
- Twenty years of Stability and Growth Pact pp. 027-036

- 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

- Pattaragit Netiniyom
- Discrete Portfolio Adjustment with Fixed Transaction Costs pp. 055-060

- Linus Wilson
- An Empirical Investigation of the Firm- and Country- Specific Debt Determinants in Four Nordic Countries pp. 061-075

- 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

- Prayagsing Chakeel Coomar and Jankee Kheswar
- Non-linear Panel Data Analysis for Capital Structure and Its Impact on Profitability pp. 021-036

- Sorana Vatavu
Volume 07, issue 2, 2015
- On a Class of Alpha-stable Distributions and Its Applications in Estimating Market Risk pp. 007-015

- Daniel Traian Pele and Vasile Nicolae Stanciulescu
- The Interval Effect in Estimating Beta: Empirical Evidence from the Romanian Stock Market pp. 016-025

- Dragos Stefan Oprea
Volume 07, issue 1, 2015
- Generalized Hyperbolic Distributions: Empirical Evidence on Bucharest Stock Exchange pp. 007-018

- Olivia Andreea Baciu
- Does Exchange Rate Affect Remittances in Nigeria? pp. 031-045

- 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

- Marija Corluka and Edwin Fischer
- Main Romanian Commercial Banks’ Systemic Risk during Financial Crisis: a CoVar Approach pp. 069-080

- 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

- Bogdan Muraraşu and Alina Bobasu
Volume 06, issue 1, 2014
- Insider Trading, Market Efficiency, and Regulation - A Literature Review pp. 007-014

- Yogesh Chauhan, Chakrapani Chaturvedula and Viswanathan Iyer
- Informational Efficiency Tests on the Romanian Stock Market: A Review of the Literature pp. 015-028

- Victor Dragotă and Dragos Stefan Oprea
- The Month-of-the-Year Effect in Post-Communist East European Stock Markets pp. 029-040

- Elena Tilica
Volume 05, issue 2, 2013
- Portfolio Diversification Benefits In Shipping Industry: A Cointegration Approach pp. 017-128

- 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

- Dan Gabriel Anghel
- Institutional Investor Recognition on Financial Asset Tranches: A Study of The Thai Property Sector pp. 129-144

- Pattaragit Netiniyom
- Testing the Turn-of-the-Year Effect on Baltic Stock Exchanges pp. 145-154

- Priit Sander and Risto Veiderpass
Volume 05, issue 1, 2013
- Investment Cash Flow Sensitivity and Managerial Optimism: A Literature Review via the Classification Scheme Technique pp. 007-026

- Ezzeddine Ben Mohamed, Baccar Ame and Abdelfatteh Bouri
- The Predictability of the Socially Responsible Investment Index: A New TMDCC Approach pp. 027-034

- Yen-Hsien Lee
- Monetary Policy Rules for a Developing Countries: Evidence from Tunisia pp. 035-046

- Imen Mohamed Sghaier and Zouheir Abida
- Empirical Comparison of Robust Portfolios’ Investment Effects pp. 047-061

- Bartosz Kaszuba
- Workers’ Remittances, Governance Institution and Private Investment in Nigeria pp. 063-081

- Ebenezer Olubiyi
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