International Research Journal of Finance and Economics
 Issue 6
November, 2006

 
Implied Volatilty Surfaces: A Study of NSE NIFTY Options
Dheeraj Misra, R Kannan and Sangeeta D Misra
7-23
Economics of Cotton Production in Indus Basin: A Price Risk Analysis
Zakir Hussain, Sofia Anwer, M. Farhan Hussain and Imtiaz-ul- Haq
24-30
Market Microstructure Changes and Time to Equilibrium (TTE)? Evidence Bursa Malaysia
Jothee Sinnakkannu and Annuar Md Nassir
31-48
The Efficiency of Non-Bank Financial Institutions: Empirical Evidence from Malaysia
Fadzlan Sufian
49-65
Case Study Foreign Capital Entry to Banking Systems of Economies in Transition: Prospects for Ukraine
Olena Etokova
66-72
A Study on Decomposition of Industry Energy Consumption
Chun-Chu Liu
73-77
The Stock Market Reaction to Extreme Events: The Evidence from Turkey
Huseyin Aktas and Semra Oncu
78-85
Globalization of Financial Markets and its Effects on Central Banks and Monetary Policy Strategies: Canada, New Zealand and UK Case with Inflation Targeting
Eyüp Kahveci and Güven Sayılgan
86-101
Detecting Rational Speculative Bubbles in the Malaysian Stock Market
Suraya Hanim Mokhtar, Annuar Md.Nassir and Taufiq Hassan
102-115
Assessment of an Emerging Stock Market: The Case for Fiji’s Stock Market
Rajni Mala and Michael White
116-132
An Empirical Investigation of the Relationship between Inflation, P/E Ratios and Stock Price Behaviors Using a New Series Called Index-20 for Istanbul Stock Exchange
Mehmet Aga and Berna Kocaman
133165
Price Assessment of Agricultural Land in Greece 
Evangelos Karafotakis, John Mylonakis and Konstantinos Kountouris
166-177
   
A Multinational Study of Agency Costs of Dividends
Gil Cohen and Joseph Yagil
178-183
Exploring the Improvement of Corporate Performance After Mergers – The Case of Greece
Michail Pazarskis, Manthos Vogiatzogloy, Petros Christodoulou and George Drogalas
184-192
Impact of Small Scale Irrigation Schemes on Poverty Alleviation in Marginal Areas of Punjab, Pakistan
Munawar Hussain, Zakir Hussain and Muhammad Ashfaq
193-200
 
 
EMU’s Impact on the Correlation Across the European Stock Markets
Manolis Syllignakis
 
201-219