Weighted Average Cost of Capital (WACC) Traditional Vs New Approach for Calculating the Value of Firm
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7-9
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Ramiz ur Rehman and Awais Raoof
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An Overlapping Generations Model with a General Default Punishment structure
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10-25
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Abdelkrim Seghir
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Does Trade Credit Facilitate Access to Bank Finance? An Empirical Evidence from Portuguese and Spanish Small Medium Size Enterprises
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26-45
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Ana Paula Matias Gama and Cesário Mateus
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Volatilty of Stock Returns: A Case Study of Selected Asian Indices
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46-57
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Tarika Singh and Seema Mehta
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Interest versus Profit-Loss Sharing Credit Contract: Effciency and Welfare Implications
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58-67
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Iman Sugema, Toni Bakhtiar and Jaenal Effendi
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Comparative Study of Volatility Forecasting between ANN and Hybrid Models for Indian Market
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68-79
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J. Dhar, Pankaj Agrawal, Vikas Singhal, Ajay Singh and Ranjan Kr. Murmu
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Do Return and Volatility Series Share the Same Drive in Closed-form GARCH Option Pricing Model?
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80-93
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Yongchern Su, Kailin Chang and Peiwen Chen
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The Dynamic Interactions between the U.S. Treasury Bill and Eurodollar Futures Markets: A Focus on Pre- and Post- Stock Crash Periods
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94-106
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Feng-Chen Lin, Syou-Ching Lai and Hung-Chih Li
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Impact of Recession on the Indian Tyre Industry
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107-113
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Jasmine Kaur
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Volatility Spillovers and Price Interdependencies; A Dynamic non Parametric Approach
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114-121
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Kostas Giannopoulos, Ramzi Nekhili and Gregory Koutmos
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Financial Attributes, Corporate Governance and Target Credit Rating
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122-134
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Sameh Ouni and Abdelwahed Omri
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Another Brick for the Aggregate Consumption Puzzle in Turkey
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135-160
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Sibel Cengiz and Afşin Şahin
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Stock Market Reaction to Bonds Issuance: Evidence from Malaysian Banking Sector
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161-169
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Rashid Ameer and Radiah Othman
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Determining Predictive Relationship between Event and Account Study Methods for Mergers and Acquisitions in Banking Industry
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170-181
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Manu Sharma
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Is There a Bank Lending Channel of Monetary Policy in Kenya?
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182-191
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Steven Buigut
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