International Research Journal of Finance and Economics
 Issue 13
 January, 2008
 
The Pricing of Dividends and Book Value in Equity Valuation: The Case of Iran
Omid Pourheydari, Abbas Aflatooni and Zahra Nikbakhat
7-17
Direct Taxes in Emerging Economies: Implications of a Measure of Opposition to Inflation
Hermann Sintim
18-23
Announcement Effect and Price Pressure: An Empirical Study of Cross-Border Acquisitions by Indian Firms
Peng Cheng Zhu and Shavin Malhotra
24-41
The Surge Impact of the Flypaper, Substitution and Stimulation Effect on Local Tax Effort in Turkey
Naci Tolga Saruc and Isa Sagbas
42-49
Can Euro be an Official Currency in North Cyprus?
Hüseyin Özdeşer
50-57
Co-Integration of the Turkish Equity Market with Greek and other European Union Equity Markets
Necla Kucukcolak
58-73
A Note on the Solution of Rational Expectations Models with One Future Variable
Erdal Atukeren and Erkan Yalçın
74-76
The Role of Technicians and Fundamentalists in Emerging Financial Markets: A Case Study of Kuwait
Husain Al-Muraikhi and Imad A. Moosa
77-83
Mutual Fund Evaluation During Up and Down Market Conditions: The Case of Greek Equity Mutual Funds 
Eleni Thanou
84-93
The Impact of International Cross-Listings on Risk and Return: Evidence from Asian Companies
Yu-Shan Wang, Huimin Chung and Chih Chiang Hsu
94-107
Estimating Betas in Thinner Markets: The Case of the Athens Stock Exchange
George Diacogiannis and Paraskevi Makri
108-122
Why Malaysian Second Board Companies Switch Auditors: Evidence of Bursa Malaysia
Shahnaz Ismail, Huson Joher Aliahmed, Annuar Md. Nassir and Mohamad Ali Abdul Hamid
123-130
 
 
Efficient Market Hypothesis and Emerging Capital Markets: Empirical Evidence from Istanbul Stock Exchange
Mehmet Aga and Berna Kocaman
131-144
A Paper on -Aid Effectiveness Reconsidered
Khan Md Azizur Rahman
 
145-151
ICT and Human Capital Intensities Effects on Malaysian Productivity Growth
Elsadig Musa Ahmed
 
152-161
Underpricing in Turkey: A Comparison of the IPO Methods
Guray Kucukkocaoglu
162-182
 
 
What Feeds Banks’ Appetite for Risk-Entailing Portfolios?
Kadri Männasoo
 
183-191
A Study of the EU’s Structural Indicators using Panel and Data Analysis
Stelios Karagianni
 
192-206