All Stories

  1. The Pandemic's Price Tag: Agricultural Inflation and Its Drivers
  2. Firm dynamics and bankruptcy processes: A new theoretical model
  3. Factors affecting development patterns: econometric investigation of the Japan equity market
  4. THE IMPACT OF A RECENT NATURAL DISASTER ON THE JAPANESE FINANCIAL MARKETS: EMPIRICAL EVIDENCE
  5. Hype vs Reality on US and BRICS stock markets going their separate ways: post-crisis evidence
  6. Bank-specific vs. macro-economic factors: what drives profitability of commercial banks in Saudi Arabia
  7. Linkage between company scores and stock returns
  8. Why do financial services companies pay dividend? Evidence from Qatar Stock Exchange
  9. Which resources matter the most to firm performance? An experimental study on Malaysian listed firms
  10. The impact of regime-switching behaviour of price volatility on efficiency of the US sovereign debt market
  11. Predicting Islamic banks performance through CAMELS rating model
  12. Co-movements of REIT indices with structural changes before and during the subprime mortgage crisis: evidence from Euro-Med markets
  13. Clustering In European Stock Indices In Crisis And Non-Crisis Periods
  14. Determinants of Stock Market Development: Evidence from Advanced and Emerging Markets in a Long Span
  15. Efficiency and risk in commercial banking: empirical evidence from East Asian countries
  16. Off-Balance Sheet Activities Impact on Commercial Banks Performance: An Emerging Market Perspective
  17. THE INVESTIGATION OF LITHUANIAN GROWTH AND INDUSTRY EXPORT: DEPENDENCE ON ENERGETIC RESOURCES
  18. Efficiency of Islamic banks: case of North African Arab countries
  19. Evaluation of Competitive Conditions in the PRC Banking Industry
  20. Decay factor optimisation in time weighted simulation — Evaluating VaR performance
  21. Fund managers performance in Turkey: An empirical evaluation
  22. Extreme Movements and Measuring Risk in WTI Oil Prices
  23. Time‐varying volatility modelling of Baltic stock markets
  24. The state of competition of the Turkish banking industry: An application of the Panzar‐Rosse model
  25. Empirical examination of REITs in Turkey: an emerging market perspective
  26. The investment decision‐making process from a risk manager's perspective: a survey
  27. Decay Factor Optimisation in Time Weighted Simulation - Evaluating VAR Performance
  28. Development and future prospects of Islamic banking in Bangladesh
  29. Islamic banking: a study of customer satisfaction and preferences in non-Islamic countries
  30. A comparison of data mining techniques for credit scoring in banking: A managerial perspective