Journal of Economics, Finance and Administrative Science
2009 - 2020
Current editor(s): Nestor U. Salcedo
From Universidad ESAN
1652 Alonso de Molina, Santiago de Surco 15023, Lima, Peru.
Contact information at EDIRC.
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Volume 21, issue 41, 2016
- Pricing maximum-minimum bidirectional options in trinomial CEV model pp. 50-55

- Bin Peng and Fei Peng
- Valorización de opciones reales: modelo Ornstein-Uhlenbeck pp. 56-62

- Álvaro Tresierra and Claudia Carrasco
- Institutionalist versus distortionist views of labor market reforms: An investigation into the post-liberalized manufacturing sector in India pp. 63-72

- Anup Kumar and Arun Sudarsan
- Calibración de parámetros de los modelos de tasas de interés NS y NSS para Colombia: una nota técnica pp. 73-80

- Mateo Velásquez-Giraldo, Juan Gutiérrez and Paula Almonacid
- Corporate governance characteristics and valuation: Inferences from quantile regression pp. 81-88

- Fekri Ali, Milad Abdelnabi, Hafezali Iqbal, Omar Alaeddin and Omer Bin
- Stock market index prediction using artificial neural network pp. 89-93

- Amin Hedayati, Moein Hedayati and Morteza Esfandyari
Volume 21, issue 40, 2016
- Determining equivalent charges on flow and balance in individual account pension systems pp. 2-7

- Luis Chávez–Bedoya
- Determinants of financial information disclosure: A visualization test by cognitive mapping technique pp. 8-13

- Nassreddine Garoui
- Does Innovation Strategy Affect Financial, Social and Environmental Performance? pp. 14-24

- Ferdaws Ezzia and Anis Jarbouib
- Role of Tourist Destination Development in Building its Brand Image: A Conceptual Model pp. 25-29

- Parikshat Manhas, Lalita Manrai and Ajay Manrai
- Modelling self-sufficiency of microfinance institutions using logistic regression based on principal component analysis pp. 30-38

- Ana Irimia-Diégueza, Antonio Blanco-Olivera and María Dolores Oliver-Alfonso
- La tasa interna de retorno promedio borrosa: desarrollos y aplicaciones pp. 39-47

- Gastón S. Milanesi
Volume 20, issue 39, 2015
- Emerging Markets Integration in Latin America (MILA) Stock market indicators: Chile, Colombia and Peru pp. 74-83

- Edmundo Lizarzaburu, Kurt Burneob, Hamilton Galindoc and Luis Berggrund
- The integration of stock exchanges: The case of the Latin American Integrated Market (MILA) and its impact on ownership and internationalization status in Colombian brokerage firms pp. 84-93

- Beatriz Yepes-Rios, Kelly Gonzalez-Tapia and Maria Alejandra Gonzalez-Perez
- Little value creation, articulation and propagating forces: A hypothesis for the Mexican manufacturing sector pp. 94-104

- Santiago Roca and Luis Simabuko
- Malaysian Finance Sector Weak-Form Efficiency: Heterogeneity, Structural Breaks, and Cross-Sectional Dependence pp. 105-117

- Sook Ching Kok and Qaiser Munir
- Effective use of marketing technology in Eastern Europe: Web analytics, social media, customer analytics, digital campaigns and mobile applications pp. 118-132

- Dureen Jayarama, Ajay K. Manraib and Lalita A. Manraib
- Training and development as a tool for improving basic service delivery; the case of a selected municipality pp. 133-136

- Mthokozisi Mpofu and Clifford Kendrick Hlatywayo
- The Link Class Project: Collaborative virtual teams between Peru and The Netherlands pp. 137-140

- Mariella Olivos, Sandra Rincón and Anne-Francoise Rutkowski
Volume 20, issue 38, 2015
- The impact of risk and mobility in dualistic models: Migration under random shocks pp. 2-20

- Ana Paula Martins
- The readability of international illustration of auditor’s report: An advanced refl ection on the compromise between normative principles and linguistic requirements pp. 21-29

- Mondher Fakhfakh
- Food price infl ation in India: The growing economy with sluggish agriculture pp. 30-40

- Joydeb Sasmal
- Threshold effects of infl ation on growth in the ASEAN-5 countries: A Panel Smooth Transition Regression approach pp. 41-48

- Thanh Su
- Effects of fi scal defi cit and money M2 supply on inflation: Evidence from selected economies of Asia pp. 49-53

- Van Bon Nguyen
- Sales training: A state of the art and contemporary review pp. 54-71

- Vijay Lakshmi Singha, Ajay K. Manraib and Lalita A. Manraib
Volume 19, issue 37, 2014
- Dynamic estimation of an interest rate structure in Colombia. Empirical analysis using the Kalman filter pp. 70-77

- Rogelio Maldonado, Natalia Zapata and Javier Pantoja
- External audit quality and ownership structure: interaction and impact on earnings management of industrial and commercial Tunisian sectors pp. 78-89

- Amel Kouaiba and Anis Jarbouib
- El fenómeno de la informalidad y su contribución al crecimiento económico: el caso de la ciudad de Guayaquil pp. 90-97
- José Véliz and Suleen Díaz
- CEO’s personal characteristics, ownership and investment cash flow sensitivity: Evidence from NYSE panel data firms pp. 98-103

- Ezzeddine Ben Mohamed, Mohamed Naceur, Amel Baccar and Abdelfettah Bouri
- Effectiveness of corporate finance valuation methods: Piotroski score in an Ohlson model: the case of Mexico pp. 104-107

- Rocío Durán-Vázquez, Arturo Lorenzo-Valdés and Claudia Castillo-Ramírez
- Fusiones y adquisiciones en Latinoamérica, gobierno corporativo y modelo gravitacional pp. 108-117
- Mateo Vasco, Lina Cortés, Sandra Gaitan Riaño and Iván Durán
Volume 19, issue 36, 2014
- Modelo binomial para la valoración de empresas y los efectos de la deuda: escudo fiscal y liquidación de la firma pp. 2-10

- Gastón Milanesi
- Investment cash flow sensitivity under managerial optimism: New evidence from NYSE panel data firms pp. 11-18

- Ezzeddine Ben Mohamed, Richard Fairchild and Abdelfettah Bouri
- Index tracking and enhanced indexation using a parametric approach pp. 19-44

- Luis Chavez-Bedoya and John Birge
- Características estadísticas del índice general de la Bolsa de Valores de Colombia (IGBC) en sus primeros 10 años pp. 45-54

- Julio Alonso and Giselle Torres
- Examining mean-volatility spillovers across national stock markets pp. 55-62

- Vinodh Natarajana, Azariah Raja and Nagarajan Priyac
- Aid allocation, selectivity, and the quality of governance pp. 63-68

- Mohammad In’airat
Volume 18, issue 35, 2013
- Adoption determinants of the International Accounting Standards IAS/IFRS by the developing countries pp. 57-62

- Fatma Zehri and Jamel Chouaibi
- Are over-paid Chief Executive Officers better innovators? pp. 63-71

- Habib Jouber
- Optimal investment paths during the life cycle of a multi-funds system pp. 72-88

- Alejandra Arboleda, Carlos Soto and Juan Gutierrez Betancur
- Institutional investors, corporate governance, and earnings management around merger: evidence from French absorbing firms pp. 89-96

- Mouna Njah and Anis Jarboui
- Oferta pública inicial y underpricing en el mercado de capitales mexicano pp. 97-107

- Cuauthemoc Villarreal
- El transporte internacional como factor de competitividad en el comercio exterior pp. 109-118

- América Zamora Torres and Oscar Pedraza
Volume 18, issue 34, 2013
- Transactional capability: Innovation’s missing link pp. 2-8

- Jorge Tello-Gamarra and Paulo Antônio Zawislak
- The twin deficits hypothesis and reverse causality: A short-run analysis of Peru pp. 9-15

- Cesar Sobrino
- Perceptions of professionals interested in accounting and auditing about acceptance and adaptation of global financial reporting standards pp. 16-23

- Orhan Bozkurt, Mehmet İslamoğlu and Yaşar Öz
- Efecto sobre la rentabilidad que tiene para el afiliado la comisión cobrada por las administradoras de fondos de pensiones pp. 24-33

- Alex Medina, Cecilia Gallegos, Celso Vivallo, Yasna Cea and Alexi Alarcón
- Localización geográfica y sectores de inversión: factores decisivos en el desempeño de las multinacionales mexicanas durante la crisis pp. 34-44

- Jorge Basave and M. Teresa Gutiérrez-Haces
- The impact of intellectual capital disclosure on cost of equity capital: A case of French firms pp. 45-53

- Mohamed Boujelbene
Volume 18, issue 00, 2013
- The Relevance of Using Accounting Fundamentals in the Mexican Stock Market pp. 1-10

- Carlos Dorantes
- The Determinants of the Long Term Private Investment in Brazil: An Empyrical Analysis Using Cross-section and a Monte Carlo Simulation pp. 11-17

- Hugo Tadeu and Jersone Tasso
- Factors Influencing Brazilian Value Investing Portfolios pp. 18-22

- Pedro Holloway and Ricardo Rochman
- Estudio del efecto tamaño en el mercado bursátil colombiano pp. 24-27

- Juan Duarte, Zulay Ramirez and Juan Mascareñas
- Retos de la gestión pública: presupuesto por resultados y rendición de cuentas pp. 29-32

- Jubitza Franciskovic