EconPapers    
Economics at your fingertips  
 

Journal of Advanced Studies in Finance

2010 - 2018

Current editor(s): Laura GAVRILĂ (formerly Ştefănescu)

From ASERS Publishing
Bibliographic data for series maintained by Claudiu Popirlan ( this e-mail address is bad, please contact ).

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 9, issue 2, 2018

Does Bitcoin Follow the Market Conditions Anymore pp. 51-55
Harun Ercan
Successes and Drawbacks of the Federal Reserve and the Impact on Financial Markets pp. 56-59
Muhammad Rashid
Crypto Currency and its Susceptibility to Speculative Bubbles Manipulation Scams and Fraud pp. 60-77
Paul Barnes
Trust Informality in the Indian Credit Market A Snapshot from Recent Data pp. 76-84
Atanu Sengupta and Sanjoy de

Volume 9, issue 1, 2018

The Business Cycle and Bank Failures pp. 5-14
Halil Kaya
Synthetic versus Physical Exchange Traded Funds Spillover and Asymmetric Volatility Effects pp. 15-23
Askar Koshoev
The Theory of Catallactics Misapplication in Monetary Policy of Developing Economies and Consequences pp. 24-33
Emmanuel Senzu
Probability Forecast Using Fan Chart Analysis A Case of the Sierra Leone Economy pp. 34-44
Emerson Jackson and Edmund Tamuke

Volume 8, issue 2, 2017

Herd Behaviour and Market Efficiency Evidence from the Iberian Stock Exchanges pp. 81-93
Jos Curto, Pedro Falcão and Andr Braga
Forecasting Realized Volatility A Review pp. 94-138
Andrea Bucci
Effect of Tax Revenues on Economic Growth in Benin The Role of Investment pp. 139-145
Gb tondji Nonvide and Cocou Amegnaglo
Stock Market Linkage Financial Contagion and Assets Price Movements Evidence from Nigerian Stock Exchange pp. 146-159
Shafiu Abdullahi

Volume 8, issue 1, 2017

Competition Stability and Financial Crisis in Thai Banking Sector pp. 5-18
Anirut Pisedtasalasai and Karnsiree Rujiratpichathorn
Asset and Liability Management in Health Insurance pp. 19-29
Ashiq Ilyas and S Rajasekaran
United Kingdom Infrastructure Investment and Finance from a European and Global Perspective pp. 30-65
Georg Inderst
Is the United States Stock Market Getting Riskier pp. 66-72
Ronny Suarez

Volume 7, issue 2, 2016

Government Block Holder Ownership Sovereign Wealth Fund and Firm Performance pp. 95-106
Kerry Liu
Wavelet Based Analysis of Major Real Estate Markets pp. 107-116
Adil Yilmaz, Gazanfer Unal and Cengiz Karatas
Establishment and Development of Tax system Disadvantages and Advantages of Taxes The Case of Kosovo pp. 117-128
Driton Balaj and Teuta Mulaku-Balaj
Mid Sized Italian Manufacturing Firms A Panel Data Analysis on Profitability pp. 129-145
Carlo Migliardo and Daniele Schiliro'
Impact of Domestic Institutional Investors on Indian Stock Market pp. 146-154
S A Salar

Volume 7, issue 1, 2016

The Role of Asymmetries and Banking Sector Indicators in the Interest Rate Pass Through in Malta pp. 5-13
Brian Micallef, Noel Rapa and Tiziana Gauci
External Financing Patterns for Small and Medium Firms in Eastern Europe and Central Asia Does Financial and Institutional Development Matter pp. 14-37
Octavian Porumboiu
How to Stabilize the Currency Exchange Rate pp. 38-69
Sergey Blinov
Assessment of Economic Indicators for Evaluation of Financial Performance pp. 70-76
Mihaela COCO Il
A Note on Credit Spread Forwards pp. 77-81
Markus Hertrich
Applications of Simulation Based Methods in Finance The Use of ModelRisk Software pp. 82-89
Hamed Habibi and Reza Habibi

Volume 6, issue 1, 2015

FISCAL SUSTAINABILITY A NOTE FOR CABO VERDE pp. 5-10
Cassandro Mendes
THE DETERMINANTS OF THE DEMAND FOR INTERNATIONAL RESERVES IN MEXICO A VECTOR ERROR CORRECTION MODEL pp. 11-19
Jorge Garza-Rodriguez, Luis F Gonzalez-Gamez, Benjamin Izaguirre-Monsibaiz, Daniel A Nader-Deleon and Erick H Treviño-Carrillo
THE FEES OF MUTUAL FUNDS AND REAL ESTATE FUNDS THEIR DETERMINANTS IN A SMALL MARKET pp. 20-28
Paulo Alves
ROMANIA S ECONOMIC RESTRUCTURING MUST BE EFFECTED BEFORE EURO ADOPTION pp. 29-39
Andreea Maria Ciobanu

Volume 5, issue 2, 2014

ANALYSIS OF NON PERFORMING LOAN AND CAPITAL ADEQUACY RATIO AMONG CHINESE BANKS IN THE POST REFORM PERIOD IN CHINA pp. 133-144
Mei Cai and Zhonglin Huang
THE EFFECT OF INTERNATIONAL SOCCER GAMES ON EXCHANGE RATES USING EVIDENCE FROM TURKEY pp. 145-156
Ender Demir, Chi Keung Lau and Ka Wai Terence Fung
LINKAGES IN CORPORATE SOCIAL RESPONSIBILITY INDICES AND MAJOR FINANCIAL MARKET INDICES AN ARMA APARCH APPROACH pp. 157-163
Li Lun Liu, John Francis Diaz and Esentur Ivagov
CAPITAL MARKET EFFICIENCY AN EMPIRICAL TEST OF THE WEAK FORM IN THE NIGERIAN CAPITAL MARKET pp. 163-178
Barine Michael Nwidobie and Julius Babatunde Adesina

Volume 5, issue 1, 2014

A TALE OF TWO EURO ZONES BANKS FUNDING SOVEREIGN RISK AND UNCONVENTIONAL MONETARY POLICIES pp. 5-26
Nicolas Fulli-Lemaire
MICROECONOMIC DETERMINANTS OF LOSSES IN FINANCIAL INSTITUTIONS DURING THE CRISIS pp. 27-36
Alessandra Cepparulo and Antonio Forte
DOES PAYMENT METHOD OF MERGERS AND ACQUISITIONS MATTER AN EXAMINATION OF THE MEDICAL INDUSTRY IN CHINA pp. 37-46
Chengkui Ye, Hao Yuan and Pingan Lu
THE GINI COEFFICIENT DECOMPOSITION AND OVERLAPPING pp. 47-55
Augustine C Arize, Paraskevas Bakarezos, Krishna M Kasibhatla, John Malindretos and Alex Panayides
EFFECT OF INLATION ON NOMINAL AND REAL STOCK RETURNS A BEHAVIORAL VIEW pp. 56-65
Andrey Kudryavtsev, Eyal Levav and Shosh Shahrabani
CROSS BORDER LISTINGS AND PRICE DISCOVERY EVIDENCE FROM CHINESE COMPANIES TRIPLE LISTED IN SHANGHAI HONG KONG AND NEW YORK pp. 66-102
Xiaoou Yang and Peng Kun
THE CARRY TRADE ON THE EURO AND THE EUROPEAN STOCK MARKET pp. 103-114
Fabio Parlapiano

Volume 4, issue 2, 2013

THE DEMAND AND SUPPLY FACTORS OF ECONOMIC GROWTH IN THE CZECH AND SLOVAK REPUBLIC pp. 91-98
J lia Ďurčová and Manuela Raisová
AN EXTREME VALUE APPROACH IN EXCHANGE RATES MODELLING pp. 99-108
Ivan Mojsej and Alena Tartaľová
SIMPLIFIED MATHEMATICAL MODEL OF FINANCIAL CRISIS pp. 109-114
Alexei Krouglov
FINANCING SHIPPING MARKET SPECIAL CHARACTERISTICS AND THE IMPACT OF BASEL III pp. 115-120
Evangelos Sambracos or Samprakos and Marina Maniati
BASEL III BANK FOR INTERNATIONAL SETTLEMENTS AND GLOBAL FINANCIAL GOVERNANCE pp. 121-144
Haider Khan
FEATURES THAT INFLUENCE THE EXIT DECISION FROM THE PRIVATE PENSION SYSTEM IN TURKEY pp. 145-155
Saime Kayam, Merih Celi̇ktopuz and Mehmet KORAY Parkin

Volume 4, issue 1, 2013

THE RISE AND FALL OF UNIVERSAL BANKING UPS AND DOWNS OF A SAMPLE OF LARGE AND COMPLEX FINANCIAL INSTITUTIONS SINCE THE LATE 90s pp. 5-31
Sergio Masciantonio and Andrea Tiseno
LIVING WITH INTERCONNECTED BANKING SECTORS DURING THE PERIOD OF GLOBAL FINANCIAL MARKET UNCERTAINTIES EXPERIENCES OF EAST AND SOUTHEAST ASIA pp. 32-61
Reza Siregar
PREDICTABILITY OF MAJOR SWEDISH EXCHANGE RATES pp. 62-69
Kenneth A Tah
EFFICIENCY ANALYSIS OF TURKISH BANKING SYSTEM pp. 70-83
Ay e Alt ok Yilmaz
Page updated 2025-01-17