Journal of Applied Finance & Banking
2011 - 2025
From SCIENPRESS Ltd Bibliographic data for series maintained by Eleftherios Spyromitros-Xioufis (). Access Statistics for this journal.
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Volume 5, issue 6, 2015
- On the Interaction between the Crude Oil Market and the Macroeconomic Activity: How do the 2000s differ from the 70s? pp. 1

- Chaker Aloui and Imen Dakhlaoui
- Forecasting Stock Return Volatility: Evidence from the West African Regional Stock Market pp. 2

- N’dri Konan Léon
- Asymmetry and Leverage Effect of Political Risk on Volatility: The Case of BIST Sub-sector pp. 3

- Güven Sevil, Melik Kamışlı and Serap Kamışlı
- Corporate Social Responsibility and Financial Performance: Does CEO Compensation Really Matter? pp. 4

- Chih-Wei Peng and Yu-Cheng Chen
- Estimating the Cost of Equity Capital of the Banking Sector in the Eurozone pp. 5

- Maher Asal
- Influence of Firm Size and Profitability on Corporate Social Responsibility Disclosures by Banking Firms (CSRD): Evidence from Jordan pp. 6

- Mohammad Ebrahim Nawaiseh, Soliman .S. Also Boa and Rezk Abou Zaid Youssef El-shohnah
- Effects of TQM Practices on Banking Sector Performance: The Case of Jordan pp. 7

- Ahmad Mashal and Emad Ahmed
- Linkage between Financial Development, Trade Openness and Economic Growth: Evidence from Saudi Arabia pp. 8

- Mohammed Ziaur Rehman, Nasir Ali and Najeeb Muhammad Nasir
Volume 5, issue 5, 2015
- Elucidating Corporate Governance Using New View: U- Shaped Relationship of Ownership Structure pp. 1

- Li-Jen Yeh and Hsien-Chang Kuo
- Corporate Governance Mechanisms Adopted by UAE National Commercial Banks pp. 2

- Tarek Roshdy Gebba
- Multi-period PD Calibration Framework for LDP Portfolios pp. 3

- Denis Surzhko
- Determinants of Commercial Banks’ Total Factor Productivity Growth in Sub-Saharan Africa (SSA) pp. 4

- Ezra Francis Munyambonera and Corti Lakuma
- Supply Chain Financing Research of G Bank pp. 5

- Jian Fei Leng, Xu Gao and YinMei Chen
- Analyze Cyber-Channel Conflict While Adopting Bancassurance: A Frequency Perspective pp. 6

- Chiang Ku Fan and Wen-Chin Lu
- Effects of Bonds Issuance on Banking Performance pp. 7

- Adler Haymans Manurung
- Evaluating the Potential for Reverse Innovation in BRIC- T Countries: A Panel Data Analysis pp. 8

- Nazan Yelkikalan and Erdal Aydın
- Internal Control Weakness and Information Quality pp. 9

- Tzu-Ching Weng, Hsin-Yi Chi and Guang-Zheng Chen
- Relationship Between Financial Performance Of Banks and Stock Revenues: Panel Data Analysis pp. 10

- Çağatay Başarır and Yakup Ülker
- Pro-Cyclical Banking Leverage in France: On its Existence and Management pp. 11

- Carmela D’Avino
- Rating models and its Applications: Setting Credit Limits pp. 12

- Mehdi Bazzi and Chamlal Hasna
Volume 5, issue 4, 2015
- Asset Price and Monetary Policy: The Japanese Case pp. 1

- Yutaka Kurihara
- Impact of Cultural Beliefs on Entrepreneurs’ Intention to use Bank Loans pp. 2

- Marcellin Makpotche, Kinvi Logossah, Yao Amewokunu, Assion Lawson-Body and Komlan Sedzro
- Impact of Domestic Acquisition on Acquirer Shareholders’ Equity: An Empirical Study on the US Market pp. 3

- Giampiero Favato, Mohamed Nurullah and Juliet A. Cottingham
- The Expiration-Day Effect of Derivatives’ Trading: Evidence from the Taiwanese Stock Market pp. 4

- Tsung-Yu Hsieh and Huai-I Lee
- Do Crude Petroleum Imports Affect GDP of Turkey? pp. 5

- Meliha Ener, Cüneyt Kɪlɪç and Feyza Balan
- Evaluating the contribution of Bank-specific variables in the Cost Efficiency of the Jordanian Banks pp. 6

- Ammar Jreisat
- Why do the Enterprises Engage in Inefficient Investment in China? Evidence from the Government’s Grabbing Hand pp. 7

- Jifu Cai
- Does Price increases in Chinese Stock Index cause Brent Crude Oil Index? Applying Threshold Cointegration Regression pp. 8

- Nicholas Ruei-Lin Lee, Ming-Min Lo, Hsiang-Hui Chu and Hsiang-Jane Su
- Price Volatility, Information and Noise Trading: Evidence from Chinese Stock Markets pp. 9

- Johnny K. H. Kwok
- Flexibility of the Exchange Rate Regime and Exchange Regulation in Morocco pp. 10

- Omar Bakkou
- Review of Literature on Finance-Growth Nexus pp. 11

- Najia Saqib
Volume 5, issue 3, 2015
- Stock Markets and Tax Revenue pp. 1

- Bojan Ilievski
- Applied Model for Financial Bubbles pp. 2

- Bodo Herzog
- Ebitda as a Criterion for Assessment of the Banks System: The Case of Deutesche Bank, Generali and Unicredit pp. 3

- Antonino Buscemi
- Did Abenomics’ Two Arrows Hit the Bulls? pp. 4

- Kwok-Chiu Lam
- Credit, Equity Conversion and Housing Endowment: Analysis of Reverse Mortgage Markets pp. 5

- Chien-Chiang Lee, Kuo-Shing Chen and David So- De Shyu
- Determinants of Working Capital and Investment Financing Patterns of SMEs: Evidence from Turkey pp. 6

- Aysa Ä°pek ErdoÄŸan
- Measuring the Financial Performance of Islamic Banks pp. 7

- Mukdad Ibrahim
- Corporate Social Responsibility and Information Asymmetry pp. 8

- Lu, Chia-Wu, Chueh and Ting-Shu
- Investors’ to Reaction to Marketing and Financial Announcements in the Telecommunication Sector pp. 9

- Batool K. Asiri
- Merger and Acquisitions of IPO firms in Taiwan pp. 10

- Jean Yu and Shiow-Ying Wen
- Investigating Liquidity-Profitability Relationship: Evidence from Companies Listed in Saudi Stock Exchange (Tadawul) pp. 11

- Mohammed Ziaur Rehman Muhammad Nauman Khan and Imran Khokhar
- Analysis of the Factors that Determine the Profitability of the Deposit Banks in Turkey pp. 12

- Nuray Ä°slatince
Volume 5, issue 2, 2015
- Study on Efficiency Sustainability of Taiwan’s Bank Performance under a Dynamic Framework pp. 1

- Cheng-Wen Lee, Chia-Jui Peng and Wen-Chuan Fu
- Market Behavior in "Lucky" Days pp. 2

- Jian Zhang, Alex Meisami and Jamshid Mehran
- Using Financial Disclosures to Evaluate the Risk Profile of Large GCC Banks pp. 3

- Mahmoud Haddad and Sam Hakim
- An Empirical Evidence of Measuring Growth Determinants of Indian Firms pp. 4

- Priyanka Aggarwal
- Economic Growth and Stock Market Development in Bahrain pp. 5

- Batool K. Asiri and Mohamed A. Abdalla
- The Economic Relevance of the Current Exchange Control Regime of Morocco: Morocco can adopt Full Convertibility of the Dirham? pp. 6

- Omar Bakkou
- An Empirical Examination of Returns on Select Asian Stock Market Indices pp. 7

- Kasilingam Lingaraja, Selvam Murugesan and Sankaran Venkateswar
- The Use of Mixed Methods in Management Research pp. 8

- Muhammad Moinuddin Qazi Abro, Muhammad Adnan Khurshid and Alamzeb Aamir
- Technical Efficiency of Banks and the Effects of Risk Factors on the Bank Efficiency in Gulf Cooperation Council Countries pp. 9

- Bukhari M. S. Sillah, Imran Khokhar and Muhammad Nauman Khan
Volume 5, issue 1, 2015
- Economic Performance Evaluation of Fragile 5 Countries After the Great Recession of 2008-2009 Using Analytic Network Process and Topsis Methods pp. 1

- Emrah Onder, Nihat TaÅŸ and Ali HepÅŸen
- Predictive Ability of Accounting Ratio for Bankruptcy pp. 2

- Marco Muscettola
- Trapped in the Here and Now – New Insights into Financial Market Analyst Behavior pp. 3

- Markus Spiwoks, Zulia Gubaydullina and Oliver Hein
- Impact of Bank Credits on Economic Growth and Inflation pp. 4

- Suna Korkmaz
- Top Manager Background Characteristics, Family Control and Corporate Social Responsibility (CSR) Performance pp. 5

- Li-Jen He, Chao-Jung Chen and Hsiang-Tsai Chiang
- The Transformation of Financial System and Its Impact on Consumers: Case Study of Pakistan pp. 6

- Najia Saqib
- Risk and Income Diversification in the Vietnamese Banking System pp. 7

- Canh Nguyen, Dinh Vinh Vo and Nguyen Van Chien
- Do Institutions Quality Affect FDI Inflows in Sub-Saharan African Countries? pp. 8

- Komlan Fiodendji and Kodjo Evlo
- Using Principal Components Analysis to Model Interest Rate Moves and Measure Delta Exposure: A Comprehensive Breakdown of a Lebanese Commercial Bank’s Portfolio pp. 9

- Viviane Y. Naimy
- Empirical Proof of the CAPM with Higher Order Co-moments in Nigerian Stock Market: The Conditional and Unconditional Based Tests pp. 10

- Ajibola Arewa, Akinwunmi Onafalujo and Nwakanma Prince C
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