Journals / International Journal of Economics and Financial Issues
International Journal of Economics and Financial Issues
Reading the catalog.
Journals / International Journal of Economics and Financial Issues
| Stock Prices and Real Exchange Rate Movements in the Gulf Cooperation Council |
| Khalifa Hassanain |
| 92–96 |
| Shareholders’ Value of Saudi Commercial Banks: A Comparative Evaluation between Islamic and Conventional Banks using CAMEL Parameters | Abdulazeez Y.H. Saif-Alyousfi, Asish Saha, Rohani Md-Rus | 97–105 |
| The Economics of Bounced Checks in Lebanon | Samih Antoine Azar, Said Elfakhani, Khaled Abdallah | 106–114 |
| Comparative Analysis of the Effectiveness of Special Economic Zones and Their Influence on the Development of Territories | Olga Sinenko, Igor Mayburov | 115–122 |
| Evaluation of the Use of Cloud-Technologies in Russian Banks During the Crisis | Alexey V. Bataev | 123–128 |
| China Trade Expansion: A Case Study of Vietnam | Vy Dang Bich Huynh, Phuc Van Nguyen, Quyen Le Hoang Thuy To Nguyen, Phong Thanh Nguyen | 129–132 |
| Earnings Surprises, Investor Sentiments and Contrarian Strategies | Liping Zou, Ruishan Chen | 133–143 |
| Tax Mechanisms of Economic Development and the Improvement of Migration Situation in the Russian Arctic | Svetlana A. Sukneva, Inga V. Nikulkina | 144–153 |
| A Stochastic Approach for Determining Profit Rate of Islamic Financing Products | Zaidi Isa, Nur Amalina Shafie | 154–163 |
| Does Governance Facilitate Foreign Direct Investment in Developing Countries? | Md. Shakib Hossain, Md. Ziaur Rahman | 164–177 |
| Influencing Factors of Net Interest Margin in Turkish Banking Sector | Serhat Yuksel, Sinemis Zengin | 178–191 |
| The Impact of National Private Investment on Manufacturing in Egypt | Baher Mohamed Atlam, Ahmed Ashour Soltan, Noha Mohey Mohamed | 192–200 |
| The Effect of Investor Sentiment on Betting Against Beta: A SEM Approach Towards Beta Anomaly | Hooman Abdollahi, Seyed Babak Ebrahimi, Hamed Tayebi | 201–206 |
| Exchange Rate Uncertainty Effect on Export-Oriented Companies at Tehran Stock Exchange (yield) Rate of Return: A Panel- Vector Autoregressive Model | Gholamreza Zamanian, Kamran Mahmodpour, Sepideh Yari | 207–213 |
| Tourism and Economic Growth in Jordan: Evidence from Linear and Nonlinear Frameworks | Buthaina M.A. Muhtaseb, Hussam-Eldin Daoud | 214–223 |
| Estimation Error of Earnings Information: A Test of Representativeness and Anchoring-adjustment Heuristic | Abdul Hamid Habbe | 224–233 |
| Determinants of External Debt: A Panel Data Analysis for Oil & Gas Exporting and Importing Countries | Abdul Waheed | 234–240 |
| Why Company Should Adopt Integrated Reporting? | Mohammad Enamul Hoque | 241–248 |
| Performance Evaluation of Return, Risk and Liquidity of Firms Newly Listed in Tehran Stock Exchange | Mehdi Alikhani Mehrjardi, Mohammad Ghadamyari, Yousef Mahboobi | 249–254 |
| A Model of The Dynamic of The Relationship Between Exchange Rate and Indonesia’s Export | Pasrun Adam, - Rosnawintang, Ambo Wonua Nusantara, Abd Aziz Muthalib | 255–261 |
| Econometrical Analysis of the Demand for Entrance Tourism in Kazakhstan | Almas Kuralbayev, Burhan Sevim, Nurjan Abishev | 262–268 |
| Perceived Risk, Investment Performance and Intentions in Emerging Stock Markets | Phung Thai Minh Trang, Nguyen Huu Tho | 269–278 |
| International Financial Reporting Standards Adoption and Earnings of Quoted Banks in Nigeria | O.A. Sanyaolu, F. O. Iyoha, Stephen A. Ojeka | 279–284 |
| Relationship between Corporate Governance and CEO Compensation among Listed Firms in Tehran Stock Exchange | Mahroo Irani, Mehdi Safari Gerayeli | 285–292 |
| The Influence of Internal Control Implementation and Managerial Performance On Financial Accountability Local Government in Indonesia | Cecilia Lelly Kewo | 293–297 |
| Oil Rent and Financial Environment: A Cross-country Examination | Shahin Javadi, Mahmood Motevaseli, Jahangir Yadolahi Farsi | 298–302 |
| Structural Change and Economic Growth in Schengen Region | Tahir Mahmood, Mikael Linden | 303–311 |
| Socio-Economic Determinants of Crime: An Empirical Study of Pakistan | Awais Anwar, Noman Arshed, Sofia Anwar | 312–322 |
| Exchange Rate Pass Through To Import Prices In Indonesia: Evidence Post Free Floating Exchange Rate | Sri Isnowati, Mulyo Budi Setiawan | 323–328 |
| Intention to Use Islamic Banking Products and Its Determinants | Nelson Lajuni, Winnie Poh Ming Wong, Yusman Yacob, Hiram Ting, Alfera Jausin | 329–333 |
| Kenya Commercial Banks are Star Performers: Myth or Truth? Exploratory Empirical Evidence from Nairobi Securities Exchange | Patrick Mumo MUİNDE, James Mwangi Karanja | 340–350 |
| Effect of Fiscal Policy and Trade Openness on Economic Growth in Indonesia:1990-2015 | Nursini NURSİNİ | 358–364 |
| Institutions and Growth in the Arab and Middle Eastern Countries | Georges HARB | 365–376 |
| The Asymmetric Effects of Real and Nominal Uncertainty on Inflation and Output Growth: Empirical Evidence from Bangladesh | Said Zamin SHAH, Ahmad Zubaidi BAHARUMSHAH, Muzafar Shah HABİBULLAH, Law Siong HOOK | 377–386 |
| Earnings and Dividend Announcements: Are They Interactive? Evidence from the French Context | Mondher KOUKİ | 387–393 |
| The Impact of the Sri Lankan Civil War on the Stock Market Performances | Shashitha Gimhani JAYAKODY | 394–402 |
| Transaction Costs and Prospects for Public-private Partnership in the Russian Mineral Resourse Sector | İrina GLAZYRİNA, Sergey LAVLİNSKİİ | 403–413 |
| The Unemployment Invariant Hypothesis: Heterogeneous Panel Cointegration Evidence from U.S. State Level Data | Mercy Laita PALAMULENİ | 414–419 |
| Arbitrage, Covered Interest Parity and Cointegration Analysis on the NTD/USD Forex Market Revisited | Kuo-shing CHEN, Chun-ming CHEN, Chien-chiang LEE | 420–428 |
| Price Manipulation by Dissemination of Rumors: Evidence from the Indonesian Stock Market | Dewa Gede WİRAMA, İ Gusti Bagus WİKSUANA, Zuraidah MOHD-SANUSİ, Soheil KAZEMİAN | 429–434 |
| Policies to Eliminate Poverty Rate in Indonesia | Akhsyim AFANDİ, Dwi WAHYUNİ, Jaka SRİYANA | 435–441 |
| Contemporary Developments in Behavioural Finance | Mydhili VİRİGİNENİ, M. Bhaskara RAO | 448–459 |
| A Review of the Literature on Smart Development: Lessons for Small Municipalities | Viktorija ŠİPİLOVA, İnta OSTROVSKA, Ludmila ALEKSEJEVA, Elita JERMOLAJEVA, Dmitrijs OĻEHNOVİČS | 460–469 |
| Can Gold Investments Provide a Good Hedge Against Inflation? An Empirical Analysis | Hanan NASER | 470–475 |
| Monetary Policy Effect on Private Sector Investment: Evidence from Sierra Leone | Sesay BRİMA, Abdulai Salia BRİMA | 476–488 |
| The Impact of Macroeconomic, Oil Prices and Socio-economic Factors on Exchange Rate in Pakistan: An Auto Regressive Distributed Lag Approach | Suresh RAMAKRİSHNAN, Shamaila BUTT, Melati Ahmad ANUAR | 489–499 |
| Factors Affecting Market Share of Iranian Hand-woven Carpet in Singapore | Lotfali AGHELİ, Unes SALMANİ, Mir Abdullah HOSSEİNİ | 500–505 |
| Rural Households’ Credit Access and Loan Amount in Wa Municipality, Ghana | Samuel SEKYİ | 506–514 |
| Does Recent Regulation Improve (or not) the Spanish Mutual Guarantee System? | Clara CARDONE-RİPORTELLA, Marta GARCÍA-MANDALONİZ | 515–523 |
| Analysis of Operating Cash Flow to Detect Real Activity Manipulation and Its Effect on Market Performance | - ANDREAS | 524–529 |
| A Review on Agency Cost of Shariah Governance in Mutual Fund | Sofi Mohd FİKRİ, Mohamed Hisham YAHYA, Taufiq HASSAN | 530–538 |
| Can Optimal Digital Innovation and Financial Inclusion Drive Poverty Reduction in the Niger Delta Region of Nigeria? | Eugene Okoi IFERE, Napoleon David OKOSU | 539–546 |
| The Contribution of Agricultural Sector on Economic Growth of Nigeria | Kamil SERTOGLU, Sevin UGURAL, Festus Victor BEKUN | 547–552 |
| Systematic Risk in Energy Businesses: Empirical Evidence for the ASEAN | Duc Hong VO, Thach Ngoc PHAM | 553–565 |
| The Dynamic Impact of Trade Openness on Poverty: An Empirical Study of Indonesia’s Economy | Lestari AGUSALİM | 566–574 |
| The Driving Forces of Economic Growth Before and After the 2008 Global Financial Crisis | Phan The CONG, Hoang Khac LİCH | 575–582 |
| Impact of Microcredit Scheme on the Development of Entrepreneurship Skills among Low Income Households in a Developing Country Context | Halimah Abdul MANAF | 583–593 |
| The impact of informal sector on income distribution: Could concentration of income be explained by the size of informal sector? | Mahieddine Adnan GHECHAM | 594–600 |
| An Investigation of the Relationship between Earnings Management and Financial Ratios (Panel Data Approach) | Azar GHYASİ | 608–612 |
| The Stationary of Productivity Shocks: Evidence from 25 OECD and Big 7 Countries | Aviral Kumar TİWARİ, Faridul ISLAM, Süleyman BOLAT, Phouphet KYOPHİLAVONG, Byoungki KİM | 613–618 |