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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 ().

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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 Marco 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 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 S 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 Yamora 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 2019-05-22