Investigating the Relationship between Stock Market Returns and Macroeconomic Variables: Evidence from Developed and Emerging Markets |
6-30 |
Mohamed Khaled Al-Jafari, Rashed Mohammed Salameh and Mohammad Rida Habbash |
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Probability of Price Reversal and Intraday Trading Activity For Low Banking Sector at Indonesia Stock Exchange |
31-42 |
Perdana Wahyu Santosa and Muhamad Nadratuzzaman Hosen |
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Justifiable Thrift or Feverish Animal Spirits: What Stirred the Corporate Credit Crunch in Poland? |
43-63 |
Marcin Senderski |
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Housing Affordability and Methodological Principles: An Application |
64-78 |
Giuseppe Torluccio |
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Economic Impact of Tourism on Greece’s Economy: Cointegration and Causality Analysis |
79-85 |
Evangelia Kasimati |
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Intertemporal Surplus Management under Model Misspecification |
86-92 |
Lung-fu Chang and Tzu-Hui Pan |
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A Household’s Behavior under Knightian Uncertainty
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93-97 |
Kenichi Tamegawa |
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Optimal Hedge Ratio with Moving Least Squares – an Empirical Study using Indian Single Stock Futures Data |
98-111 |
Sukanto Bhattacharya, Harminder Singh and Renato M. Alas |
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A Combined Forecasting Approach to Exchange Rate Fluctuations |
112-119 |
Majid Shahriari |
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Income Smoothening Practicing Effect on Abnormal Returns and Market Value |
120-127 |
Khaldoun M. Al-Qaisi |
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Procurement Procedures for Greek Hospital Provisions |
128-136 |
Theodoros A. Komatas |
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Data Envelopment Analysis: An Augmented Method for the Analysis of Firm Performance |
137-142 |
Yusuf Gümüş and Hakan Çelikkol |
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A Study of Operating Efficiency of Banks under Financial Holding in Taiwan |
143-155 |
Chun Chu Liu, Li Min Chuang and Chien Min Huang |
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The Macroeconomic Effects of Budget Deficits in Greece: A VAR-VECM Approach |
156-166 |
Andreas G. Georgantopoulos and Anastasios D. Tsamis |
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Financial Industry: Revising the Recession’s Roots |
167-175 |
Alexander Suetin |
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