Journal of Applied Finance & Banking
2011 - 2025
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Volume 4, issue 6, 2014
- Modification of Earnings Quality Capability Measurement Indices by adding the Centralized Tendency Factor pp. 1

- Shen-Ho Chang
- What Determinants China’s Mortgage Credit Boom pp. 2

- Ming Qi and Chengcheng Zheng
- Market Risk Measures using Finite Gaussian Mixtures pp. 3

- Jorge Rosales Contreras
- The Divergence of Long - and Short-run Effects of Manager’s Shareholding on Bank Efficiencies in Taiwan pp. 4

- Ying-Hsiu Chen and Pao-Peng Hsu
- Investor Protections, Financial Development and Corporate Investment Efficiency pp. 5

- Ji-fu Cai
- Perspectives of Turkish Banks on Basel II pp. 6

- Sema Bayraktar, Ayşe Evren Hoşgör and Tarık Erhan Göztepe
- Financial Inclusion through Mobile Banking: A Case of Bangladesh pp. 7

- Nur Alam Siddik, Gang Sun, Yanjuan and Sajal Kabiraj
- Financial Fragility and Performance of Nigerian Banking Institutions: An Inter-Temporal Analysis pp. 8

- Adolphus J. Toby
- Estimation of Term Structures using Nelson-Siegel and Nelson-Siegel-Svensson: A Case of a Zimbabwean Bank pp. 9

- Jacob Muvingi and Takudzwa Kwinjo
- Bank Return Volatility and Management Structure pp. 10

- Xiaolou Yang and Gang Peng
Volume 4, issue 5, 2014
- The Dynamic Market-Derived Capital Pricing Model: Theoretical Foundations and Empirical Analysis pp. 1

- Chaouki Mouelhi and Jacques Saint-Pierre
- An Era of Intangible Assets pp. 2

- Alem Hagos Yallwe and Antonino Buscemi
- What Determines Capital Adequacy in the Banking System of Kingdom of Saudi Arabia? A Panel Data Analysis on Tadawul Banks pp. 3

- Ali Polat and Hassan Al-khalaf
- Using Multi-class AdaBoost Tree for Prediction Frequency of Auto Insurance pp. 4

- Yue Liu, Bing-Jie Wang and Shao-Gao Lv
- The Determinants of Bank Capital Structure and the Global Financial Crisis: The Case of Turkey pp. 5

- Tuncer Gocmen and Osman Sahin
- Does Investment Experience Affect Investors’ Brand Preference and Purchase Intention? pp. 6

- Ya-Hui Wang
- Testing Short-Term Over/Underreaction Hypothesis: Empirical Evidence from the Egyptian Exchange pp. 7

- Aliaa Bassiouny and Amira Ragab
- The Effects of the Fair Value Option under IAS 40 on the Volatility of Earnings pp. 8

- Husam Aldeen Al-Khadash and Ahmad Y. Khasawneh
- Corporate Governance Practices in Commercial Banking Sector of Malawi: Evidence from Annual Reports pp. 9

- Andrew Munthopa Lipunga
Volume 4, issue 4, 2014
- Do European Central Bank Announcements Influence Stock Prices and Exchange Rates? pp. 1

- Yutaka Kurihara
- What Determines Trade Liberalization in Banking Services under the WTO? pp. 2

- Ching-Yang Liang
- An Evidence for Ineffectiveness of Central Bank Foreign Exchange Interventions from Turkey pp. 3

- Macide Çiçek
- Cross Usage of Banks and Credit Unions pp. 4

- Jeffrey Gutenberg, William Caren, Michael Schinski and James Prinzi
- The Impact of Wealth ManagementKnowledge on Job Performances: Evidence from Insurance Industry pp. 5

- Hui-Lin Hsu
- Iceland’s Currency Options pp. 6

- Mustapha Ibn Boamah
- Cross-listing, Volatility and Liquidity: Evidence from a Perfectly Segmented Market pp. 7

- Johnny K. H. Kwok
- Credit Risk Management in the Financial Markets pp. 8

- Mehmet Nar
- The Determinants of the Return of Investment: An Empirical Study of Egyptian Listed Corporations pp. 9

- Mahmoud Touny and Amir A. Shusha
- Estimating the VaR of Brazilian stock portfolios via GARCH family models and via Monte Carlo Simulation pp. 10

- Lucas Godeiro
Volume 4, issue 3, 2014
- Is Financial Communication on Euronext Brussels linked to Ownership Structure? pp. 1

- Laetitia Pozniak, Mélanie Croquet and Olivier Colot
- Institutional Factors and Investors Sentiments for Dividends pp. 2

- Maria Elisabete Duarte Neves
- Short-term Stock Price Behaviour around European Cross-border Bank M&As pp. 3

- Evangelos Drymbetas and George Kyriazopoulos
- Illiquidity, Systemic Risk, and Macroprudential Regulation: The Case of Taiwan's Capital Market pp. 4

- Po-Hsiang Huang, Shih-Cheng Lee and Szu-Lang Liao
- Validating Black-Scholes Model in Pricing Indian Stock Call Options pp. 5

- R.Nagendran and S. Venkateswar
- The Dynamic Co-movements between Oil and Stock Market returns in: The Case of GCC Countries pp. 6

- Zainab Jaafar Alhayki
- Banks and Young People in Italy: Financial Product, Credit and other Features pp. 7

- Pasqualina Porretta and Fabrizio Santoboni
- The Role of the Macro-economic Factors in the Credit Risk Management in Tunisian Deposit Banks pp. 8

- Mohamed Gassouma
- Economic Growth, Financial Depth and Savings Nexus in Saudi Arabia: An Empirical Investigation pp. 9

- Najeeb Muhammad Nasir and Nasir Ali
- Equity-based Executive Compensation, Managerial Legal Liability Coverage and Earnings Management pp. 10

- Tzu-Ching Weng, Chia-Hsuan Tseng, Chun-Ho Chen and Yun-Sheng Hsu
- Consumer Protection in Banking: Investigating the 10 High Level Principles of G20 in Saudi Arabia pp. 11

- Ali Polat and Abdulsalam A. Alsaif
- Transmission of the U.S. Subprime Crisis and the European Sovereign Debt Crisis to Emerging Markets pp. 12

- Kae-Yih Tzeng and Christina Tay
- The Impact of Bank Characteristics on the Efficiency: Evidence from MENA Islamic Banks pp. 13

- Mustapha Ben Hassine and Ratiba Limani
- Banking during Bubbles: What Difference does it Make on Post-bubble Lending? pp. 14

- Laura Gonzalez
Volume 4, issue 2, 2014
- Effect of Enterprise Resource Planning Information System on Business Performance: An Empirical Case of Taiwan pp. 1

- Chenyin Kuo
- The Cost of Credit and Positive Feedback Trading: Title Evidence from the U.K. Stock Market pp. 2

- Antonios Antoniou and Gregory Koutmos
- Economic Integration and Structure Change in Stock Market Dependence: Empirical Evidences of CEPA pp. 3

- Chung-Chu Chuang and Jeff T.C. Lee
- Has Borsa Istanbul been conceded Goals by Fenerbahce and Trabzonspor? pp. 4

- Ekrem Tufan and Bahattin Hamarat
- Predictors of Financial Development in Ghana pp. 5

- Michael Adusei and Joseph Magnus Frimpong
- Did Linear Stochastic Processes predict accurately Short Term Interest Rate Intertemporal Behaviour? pp. 6

- Mouna Ben Salah and Fathi Abid
- Effects of Sovereign Credit Ratings on Foreign Direct Investment Inflows: Evidence from Turkey pp. 7

- Yılmaz Bayar and Cüneyt Kılıc
- Residual Based Test for Cointegration between Oil Prices and Stock Prices in Saudi Arabia in the Presence of Structural Break pp. 8

- Lakshmi Kalyanaraman
- Fiscal Deficits Financing: Implications for Monetary Policy Formulation in Uganda pp. 9

- Thomas Bwire and Dorothy Nampewo
- Audit Quality and Earnings Response Coefficients of Quoted Companies in Nigeria pp. 10

- Augustine O. Okolie
- Impact of Ownership Structure on Financial Performance of Banks: Case of Tunisia pp. 11

- Ben Moussa Mohamed Aymen
- The Impact of Capital Structure on Firm’s Performance Evidence from Saudi Arabia pp. 12

- Abdullah Ewayed M. Twairesh
Volume 4, issue 1, 2014
- Exorbitant Global Imbalances pp. 1

- M Halim Dalgin
- Determinants of Bank Profitability: Evidence from Syria pp. 2

- Mohamed Khaled Al-Jafari and Mohammad Alchami
- Bank Lending Channel of the Monetary Policy Transmission Mechanism in Uganda: Evidence from Disaggregated Bank-level Data pp. 3

- Jacob Opolot and Dorothy Nampewo
- The Impact of Intangible Assets on Financial and Governance Policies: A Simultaneous Equation Analysis pp. 4

- Sandra Alves and Júlio Martins
- Macroeconomic Variables Effect on US Market Volatility using MC-GARCH Model pp. 5

- Jang Hyung Cho and Ahmed Elshahat
- Empirical Evidence of Financial Services Marketing in the Nigerian Banking Industry pp. 6

- Ikpefan, Ochei and Ailemen
- Impact of Internal Factors on Bank Profitability: Comparative Study between Saudi Arabia and Jordan pp. 7

- Ahmad Aref Almazari
- The Effect of Capital Market Deepening on Economic Growth in Kenya pp. 8

- Josiah Aduda, Ronald Chogii and Maina Thomas Murayi
- Effect of Macro-economic Factors on Aggregate Stock Returns in the Tunisian Financial Market pp. 9

- Jaber Yasmina
- Efficiencies of Life/Pension Insurance Industry in Turkey: An Application of Data Envelopment Analysis pp. 10

- Nilüfer Dalkılıç and Ayşen Altun Ada
- Factoring as a financial alternative to firms (Case of study of firms providing services to the Federal Electricity Commission) pp. 11

- Arturo GarcÃa-Santillán, Elena Moreno-GarcÃa and Aseneth del Carmen Aguirre Núñez
- Lending Values and Liquidity Risk pp. 12

- Alessandro Juri
- Measuring the Dependency between Securities via Factor-ICA Models pp. 13

- Changho Han
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