Volume: 7 Issue: 1 , 3/1/17

Year: 2017

Other

 

2. Effects of Corporate Governance Structures on Enterprise Risk Management Practices in Malaysia

 

3. Income Disparity in Gerbangkertosusila Area of East Java Indonesia

 

4. Does Labor Market Hysteresis Hold in Low Income Countries?

 

6. The Effect of Financial Crisis and Macroeconomic Factors on FDI in Developing Countries

 

7. Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries

 

8. Detecting Asset Price Bubbles: A Multifactor Approach

 

9. Board Structure and Bank Performance: Evidence for the Greek Banking Industry during Crisis Period

 

10. Balance Sheet Approach for Fiscal Sustainability in Indonesia

 

11. Testing Asymmetrical Effect of Exchange Rate on Saudi Service Sector Trade: A Non-Linear ARDL Approach

 

12. Retirement Preparedness in Saudi Arabia

 

13. Incentive Structure of Financing a Project: An Islamic Finance Approach

 

15. Shareholders’ Value of Saudi Commercial Banks: A Comparative Evaluation between Islamic and Conventional Banks using CAMEL Parameters

 

16. The Economics of Bounced Checks in Lebanon

 

19. China Trade Expansion: A Case Study of Vietnam

 

20. Earnings Surprises, Investor Sentiments and Contrarian Strategies

 

21. Tax Mechanisms of Economic Development and the Improvement of Migration Situation in the Russian Arctic

 

22. A Stochastic Approach for Determining Profit Rate of Islamic Financing Products

 

23. Does Governance Facilitate Foreign Direct Investment in Developing Countries?

 

24. Influencing Factors of Net Interest Margin in Turkish Banking Sector

 

25. The Impact of National Private Investment on Manufacturing in Egypt

 

26. The Effect of Investor Sentiment on Betting Against Beta: A SEM Approach Towards Beta Anomaly

 

28. Tourism and Economic Growth in Jordan: Evidence from Linear and Nonlinear Frameworks

 

31. Why Company Should Adopt Integrated Reporting?

 

32. Performance Evaluation of Return, Risk and Liquidity of Firms Newly Listed in Tehran Stock Exchange

 

33. A Model of The Dynamic of The Relationship Between Exchange Rate and Indonesia’s Export

 

34. Econometrical Analysis of the Demand for Entrance Tourism in Kazakhstan

 

35. Perceived Risk, Investment Performance and Intentions in Emerging Stock Markets

 

36. International Financial Reporting Standards Adoption and Earnings of Quoted Banks in Nigeria

 

39. Oil Rent and Financial Environment: A Cross-country Examination

 

40. Structural Change and Economic Growth in Schengen Region

 

41. Socio-Economic Determinants of Crime: An Empirical Study of Pakistan

 

42. Exchange Rate Pass Through To Import Prices In Indonesia: Evidence Post Free Floating Exchange Rate

 

43. Intention to Use Islamic Banking Products and Its Determinants

 

44. Labour Migration and Remittances: Strategy for Survival or Development?

 

46. Palestinian Banks Analysis Using CAMEL Model

 

48. Institutions and Growth in the Arab and Middle Eastern Countries

 

49. The Asymmetric Effects of Real and Nominal Uncertainty on Inflation and Output Growth: Empirical Evidence from Bangladesh

 

51. The Impact of the Sri Lankan Civil War on the Stock Market Performances

 

52. Transaction Costs and Prospects for Public-private Partnership in the Russian Mineral Resourse Sector

 

54. Arbitrage, Covered Interest Parity and Cointegration Analysis on the NTD/USD Forex Market Revisited

 

55. Price Manipulation by Dissemination of Rumors: Evidence from the Indonesian Stock Market

 

56. Policies to Eliminate Poverty Rate in Indonesia

 

58. Contemporary Developments in Behavioural Finance

 

59. A Review of the Literature on Smart Development: Lessons for Small Municipalities

 

61. Monetary Policy Effect on Private Sector Investment: Evidence from Sierra Leone

 

63. Factors Affecting Market Share of Iranian Hand-woven Carpet in Singapore

 

65. Does Recent Regulation Improve (or not) the Spanish Mutual Guarantee System?

 

67. A Review on Agency Cost of Shariah Governance in Mutual Fund

 

69. The Contribution of Agricultural Sector on Economic Growth of Nigeria

 

70. Systematic Risk in Energy Businesses: Empirical Evidence for the ASEAN

 

72. The Driving Forces of Economic Growth Before and After the 2008 Global Financial Crisis

 

75. Monetary Uncertainty and Demand for Money Stability in Nigeria: An Autoregressive Distributed Lag Approach

 

77. The Stationary of Productivity Shocks: Evidence from 25 OECD and Big 7 Countries