Table of Contents      

                                            Finance Papers

 Number

Title of the Papers

Author/Authors

302

Utilization of Corporate Governance Practices Among Rural Banks in Socsksargen and its Influence to Their Financial Performance:  

Joan S. Constantino

312

Regulatory Reforms and Market Integration: Evidence from the Chinese Stock Markets:

Frankie Chau and Rataporn Deesomsak

314

Microfinance Institutions: Sustainability and Outreach:

Saundarjya Borbora and Gopal Kumar Sarma

318

Combining Mean-Reversion of Sales Growth and Low Valuation Multiples Into Single Investment Strategy:

Jacek Welc

322

A longitudinal study of the tax capacity and tax effort of the Malaysian state government:.

 A.J. Ahmad Zafarullah

323

The Impact of company’s Characteristics on Decision of R&D Investment for Short and Long-Term performance::

Yoon Sung Koh and Hyun Jung Choi

329

Corporate Governance, Earnings Management, and Firm Performance: An Endogenous Switching Regression Model:

Hui-wen Tang and Chong-Chuo Chang

330

The Determinants of Working Capital Management: Evidence from Thailand:

Rataporn Deesomsak and Frankie Chau

333    
334

Credit Risk Assessment Using Multilayer Neural Network Models Case of a Tunisian Bank:

Hamadi Matoussi and Aida Krichene

337

National Culture and Household Finance:

Wolfgang Breuer and Astrid Salzmann

342

Global Financial Risks and Changes in Conditional Value-at-Risk:

Kian-Guan Li

344

The Impact of Pension Fund Freezes on Firms’ Systematic and Specific Risk:

 Claudia Champagne and Frank Coggins and Stéphane Chrétien

345

Comparing Forecast Performance of Stock Market and Macroeconomic Volatilities: An US Approach:

Kaya Tokmakçıoğlu and Oktay Taş

348

Family Control, Managerial Optimism, and Share Repurchases:

Yi-Pei Chen

349

International Diversification Benefits from ASEAN-5 Stock Markets: A Revisit from Linear and Nonlinear Cointegration Test:

Yi Ying Lee and Chong Mun Ho

     
     

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update:21-09-2011