The Oslo Index and Stock Returns
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7-22
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Tamir Levy
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Poverty Alleviation in Southern Punjab (Pakistan): An Empirical Evidence from the Project Area of Asian Development Bank
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23-32
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Imran Sharif Chaudhry
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Wavelet-Based Systematic Risk Estimation An Application on Istanbul Stock Exchange
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33-45
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Bora Aktan, Anouar Ben Mabrouk, Mustafa Ozturk and Najet Rhaiem
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Potential Impact of Basel II in Developing Economies: Experiment on Bangladesh
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46-61
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Md. Akhtaruzzaman
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Using the Component GARCH Modeling and Forecasting Method to Determine the Effect of Unexpected Exchange Rate Mean and Volatility Spillover on Stock Markets
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62-74
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Ching-Chun Wei
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Director Networks and their Similarity in R&D Expenditure Decision
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75-88
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Chun-Chieh Liao and Jia- Yu Chen
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Do Reputational Capital Boards Enhance Corporate Reputation?
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89-103
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Hsiu-I Ting
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Asymmetric Price Transmissions between the Exchange Rate and Stock Market in Vietnam
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104-113
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Hsu-Ling Chang, Chi-Wei Su and Yi-Chu Lai
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Shareholder Value and the Articulation of P/B and Stock Return in Egypt's CASE50 Index
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114-127
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Tarek Ibrahim Eldomiaty and Hany Kamel
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Long Swing in Appreciation and Short Swing in Depreciation - Could they Exist in Asian Foreign Exchange?
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128-143
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Shyh-Wei Chen and Chung-Hua Shen
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Profit Planning of an NGO Run Enterprise Using Linear Programming Approach
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144-154
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N. Murugan and S. Manivel
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Can the Nonlinear Present Value Model Explain the Movement of Stock Prices?
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155-170
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Shyh-Wei Chen and Chung-Hua Shen
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An Empirical Research on the Topic of the Draw up and Publish Divisional Financial Reports (DFR's) by not Listed Thracian Manufacturing Firms (TMF's)
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171-184
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Efthimios Stathakis and Demetrios Bandekas
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Enhanced Reliability of the Fundamentals-Based Model in Determining the Exchange Rate: Evidence from Taiwan
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185-192
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Shyh-Wei Chen
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The Process of Stock Portfolio Construction with Respect to the Relationship between Index, Return and Risk Evidence from Turkey
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193-206
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Ayhan Kapusuzoğlu and Semra Karacaer
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The Relationship between Stock Prices and Exchange Rates Evidence from Turkey
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207-215
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Oguzhan Aydemir and Erdal Demirhan
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Downside Risk Analysis of Indian Equity Mutual Funds: A Value at Risk Approach
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216-230
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Soumya Guha Deb and Ashok Banerjee
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Job-to-Job Movements in Turkey: Evidence from Individual Level Data
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231-246
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H.Mehmet Taşçı
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Foreign Direct Investment and Industrial Concentration in the Turkish Manufacturing System
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246-252
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Filiz Elmas and Suleyman Degirmen
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