Volume: 6 Issue: 4 , 9/1/16

Year: 2016

Other

 

4. Systematic and Unsystematic Risk Determinants of Liquidity Risk Between Islamic and Conventional Banks

 

5. Individual Choice of a Pension Fund in Russia: Are the Investment Results of the Fund Important?

 

8. The Linkages between Household Consumption and Household Debt Composition in Malaysia

 

10. Impact of the Trans Pacific Partnership to Indonesia

 

11. Testing the Permanent Income and Random Walk Hypotheses for Turkey

 

12. Impact of Sanctions of European Union and Unites States of America on the Development of Russian Oil and Gaz Complex

 

13. Performance of Islamic and Conventional Banks in Pakistan: A Comparative Study

 

14. Monetary Policy Response to Exchange Rates: An Empirical Investigation

 

15. Dynamics of Inflation and Manufacturing Sector Performance in Nigeria: Analysis of Effect and Causality

 

17. Domestic and Foreign Firms in Russian Food Industry for the Period of 2005-2014

 

19. The Influence of Audit Committee Effectiveness on Banks’ Performance in Yemen

 

22. Raw-material-intensive Economy and Development of Small and Medium-sized Enterprises in Kazakhstan

 

23. The Nexus of Regional Poverty and Education in Egypt: A Micro Analysis

 

24. The Relationship between Exchange Rate and Inflation: An Empirical Study of Turkey

 

25. Structural Changes in the Economy of Cross-Border Regions of Russia and China

 

26. Modelling the Determinants of Malaysian Household Debt

 

27. Semi Strong Form Efficiency Test of the Nigerian Stock Market: Evidence from Event Study Analysis of Bonus Issues

 

29. Russia among the Countries of the Baltic Region

 

30. Human Capital, Institutions and Innovation in Sub-Saharan Africa

 

31. Shadow Economic Activities: Assessment and Minimization Problems

 

32. Board Characteristics and Sustainability Reporting: Environmental Agencies’ Moderating Effects

 

33. State Economic Policy and Reform in the Oil-exporting Countries on the Example of Saudi Arabia, the UAE and Iraq

 

34. Creation of Provision for Doubtful Debts

 

35. Methodology of Planning Tax Expenses

 

36. Reforming of Regional Fiscal Policy as Basis of Increasing Taxation Potential of Territories

 

37. Total Factor Productivity Analysis of Oil Palm Production in Indonesia

 

39. Monetary Policy and External Factors: Empirical Evidence for Association of Southeast Asian Nations 3

 

40. The Management of Drinking Water and Long-term Perspective: Tunisia Case

 

41. Volatility and Commodity Price Dynamics in Nigeria

 

43. Methodological Approaches to the Diagnosis and Forecast of the Long-Wave Fluctuations in the Economy

 

44. Testing the Structure-Conduct-Performance Paradigm for the Turkish Banking Sector: 2008-2013

 

46. Analytical View on the Financial and Social Stability within the Euro Area: Empirical Evidence from Slovakia

 

47. The Performance Analysis of Saud Bahwan Group, Oman: An Empirical Study

 

51. Consolidated Group of Taxpayers: Infusion into the Russian Economic Practice

 

52. Regional Resources Capitalization: Theoretical and Methodological Basis

 

53. Cross-border Movement of People between Russia and Poland and Their Influence on the Economy of Border Regions

 

55. Assessment of the Level of Economic Security in the Conditions of Uncertainty

 

56. Payment Methods in Acquisitions of Association of Southeast Asian Nations Bidders

 

57. Random or Deterministic? Evidence from Indian Stock Market

 

58. Education and Human Capital Effect on Malaysian Economic Growth

 

59. Minimum Wage Policy and Country’s Technical Efficiency

 

60. Profitability and Cost Efficiency of Islamic Banks: A Panel Analysis of Some Selected Countries

 

64. The Effectiveness of Catastrophe Bonds in Portfolio Diversification

 

65. Social and Macroeconomic Uncertainty and Private Savings: A Case Study of a Developing Economy

 

66. Assessing the Role of CSR Practices of Commercial Banks in Enhancing Financial Inclusion: A Study on Banking Sector in Bangladesh

 

67. Corporate Ownership and Sustainability Reporting: Environmental Agencies’ Moderating Effects

 

68. Tax Risks in the Company’s Accounting System: Essence, Identification and Control

 

69. Capital Buffers and Bank Risk: Empirical Study of Adjustment of Pakistani Banks

 

71. Pricing Ability of Four Factor Model using Quantile Regression: Evidences from India

 

72. Price of Political Uncertainty: Evidence from Ghanaian Treasury Bills

 

73. Comparative Study on Performance of Islamic Banks and Conventional Banks: Evidence from Oman

 

74. Relationship between Financial Development and Economic Growth in Nigeria: A Triangulation Approach

 

76. Does Foreign Direct Investment Affect Industrial Workers? Evidence from Kingdom of Saudi Arabia

 

77. Social Crisis, Terrorism and Food Poverty Dynamics: Evidence from Northern Nigeria

 

78. A Dynamic Model Approach of Securitization and the Financial Crisis

 

79. Investigating and Comparing Some Consumption-Based Asset Pricing Models: The Case of Iran

 

82. Accountants’ Perceptions on the Adoption of International Financial Reporting Standards in Yemen

 

83. Kou Jump Diffusion Model: An Application to the Standard and Poor 500, Nasdaq 100 and Russell 2000 Index Options

 

84. Government Spending Pattern and Macroeconomic Stability: A Vector Autoregressive Model

 

86. The Goal Setting of Internal Control in the System of Project Financing

 

87. Management of the Formation of Rating Preferences of Economic Entities upon Collective Choice

 

88. Innovative Approach to the Development of the Logistics System of Supply of the Arctic Region Space

 

89. Determinants of External Debt in Thailand and The Philippines

 

90. Problems and Prospects of the Land Market Development in Russia