|
Issue |
Title |
|
Vol 1, No 1 (2013) |
An Appraisal of a River Cargo Transport Project |
Abstract
PDF
|
Mandana Bahrami, Omotola Awojobi |
|
Vol 1, No 1 (2013) |
Book Review: Ogbulu, O.M. 2012, All-Asset Market Portfolio And The Risk-Return Behavior of Assets: Evidence From The Nigerian Capital Market: LAP Lambert Academic Publishing, Saarbrucken, Germany, ISBN 978-3-659-25809-1 |
Abstract
PDF
|
Hamilton O. Isu. |
|
Vol 2, No 2 (2014) |
Dividend Signalling And Market Efficiency In Emerging Economy: A Study of Indian Stock Market |
Abstract
PDF
|
Jitendra Kumar Sharma, Vijay Shankar Pandey |
|
Vol 2, No 1 (2014) |
Good Corporate Governance Mechanism, Corporate Social Responsibility Disclosure on Firm Value: Empirical Study on Listed Company in Indonesia Stock Exchange |
Abstract
PDF
|
- Mukhtaruddin, - Relasari, Messa Felmania |
|
Vol 1, No 1 (2013) |
Litigation Cost, Market-to-Book, and Asymmetric Timeliness of Earnings |
Abstract
PDF
|
Zhefeng Frank Liu, Daniel B. Thornton, Fayez A. Elayan |
|
Vol 1, No 2 (2013) |
Quality of Net Income vs. Total Comprehensive Income in the Context of IAS/IFRS Regulation |
Abstract
PDF
|
Bahloul Jaweher, Ben Arab Mounira |
|
Vol 1, No 1 (2013) |
Recent Evidence on the Impact of Federal Government Budget Deficits on the Nominal Long Term Mortgage Interest Rate in the U.S. |
Abstract
PDF
|
Richard J. Cebula, Maggie Foley |
|
Vol 2, No 2 (2014) |
Straight Line Method of Depreciation and Financial Information Quality of Nigerian Service Companies |
Abstract
PDF
|
Abuh Adah |
|
Vol 3, No 1 (2015) |
Survey of Corporate Financial Behavior of Indian MNCs |
Abstract
PDF
|
Anu Kohli, Jitendra Kumar Sharma |
|
Vol 2, No 1 (2014) |
The Demand for Money in the United States, 1959.1-2013.11 |
Abstract
PDF
|
Samih Antoine Azar |
|
Vol 1, No 2 (2013) |
The Impact of Separation of Control and Cash Flow Rights on Diversification—Evidence from China |
Abstract
PDF
|
SHANG Chun-ling, GAO Jie, ZHANG Hua |
|
Vol 2, No 1 (2014) |
The Nexus between Bank Capital, Liquidity and the Business Cycles: Empirical Evidence from the UK Banking Sector |
Abstract
PDF
|
Isaiah Oino |
|
Vol 3, No 1 (2015) |
Types and Motives of Corporate Social Responsibility and Environmental Reporting in Libyan Companies |
Abstract
PDF
|
Naser Benomran, Mohd Hassan Che Haat, Hafiza Binti Hashim, Nor Raihan Binti Mohamad |
|
Vol 1, No 2 (2013) |
Using Financial Ratios and Managing Financial Risks in Investing in “Grey” Zone Companies: Evidence from Malaysia |
Abstract
PDF
|
Ben Chin-Fook Yap, Gary James Clayton, Zulkifflee Bin Mohamed |
|
1 - 14 of 14 Items |
|