Table of Contents      

       

                         Finance      

 Number

 Title of the Papers

Author/Authors

307

Spillover and Asymmetric-volatility Effects of Leveraged and Inverse Leveraged Exchange Traded Funds

Jo-Hui Chen and John Francis Diaz

308

Impact of Split Share Structure Reform of China State-Owned Enterprises on China’s Corporate Governance Development

Andy Cheng Wui Wing

309

Leverage, Family Firms and Ethnicity: Evidence of Malaysian Non-Financial Public Listed Firms

Noorhayati Yusof Ali, Puan Yatim and Rasidah Mohamad Said

310


Stock Market Integration – A Multiple Time Scale Approach

Lixia Loh and Yi Zheng

311

The Impact of the Amanah Ikhtiar Malaysia Urban Microfinance Programme on its Participants

Mohamed Zaini Omar, Che Supian Mohamad Nor and Main Rindam

312

The Influence of Investment Opportunity Set and Corporate Governance to Earnings Quality and Firm Value

Dini Rosdini

315

Comprehensive Income: Reporting Preferences of Malaysian Listed Companies on the ACE Market

Azhar Abdul Rahman and Mohd Diah Hj Hamdan

     
318

Risk Management for Thailand Flooding Crisis

Wantanee Surapaitoolkorn

     
322

The Economic Performance of the Amanah Ikhtiar Malaysia Rural Microcredit Programme : A Case Study in Kedah

Mohamed Zaini Omar, Che Supian Mohamad Nor and Norziani Dahalan

323

The Analysis of Financial Distress Prediction (Study in Islamic Bonds)

Prima Yusi Sari and Tettet Fitrijanti

325

The Information Contents of the Implied Volatility

Doojin Ryu

     
330

Strategic Capacity Expansion under Potential Entry Threat

Shinsuke Kamoto

331

Time-Specific Effects and a Bias in the Granger-Causality Test

hung-Ki Min

334

Board Characteristics and Dividend Policy: Australian Evidence

Subba Reddy Yarram

336

Impact of International Sporting Results on Stock Returns: Evidence from Australia and New Zealand

Sazali Abidin, Sarah Alexander, Xun Yu and Azilawati Banchit

342

Role of Microfinance Interventions in Closing the Gender Gap for Rural Development: Evidence from Sri Lanka

Poornima Gayangani Wasana Jayawardana

347

Investors’ Overconfident Behavior: Miscalibration, Better Than Average, Self-Attribution, and Familiarity

Shih-Wei Wu and Wei-ju Chen

348

Advertising, Corporate Governance and Stock Liquidity

Yik-Pui Low

351

Ownership Cross-Holdings, Excess Cash Holdings and Corporate Performance

Ming-Chang Cheng, Yu-Min Lin, Hui-Chuan Wang and Chien-Chi Lee

352

Liquidity, Ownership Structure, and Market Share Repurchases: Evidence from Japan

Takaaki Hoda and Jun Uno

353

The 2006 -2008 Financial Crisis in New Zealand: Implications for the regulatory framework or just another Inconvenient Truth?

Christina Chiang and Semisi M Prescott

 

 

 

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update:18-01-2012