Table of Contents      

                                            Finance  Papers
Sl Number

Title of the Papers


1  Regulation And Financial Crisis In Development Countries  Mahshid shahchera
2  Indian Stock Market Reaction to International Cross-listing: Evidence from Depository Receipts  Naliniprava Tripathy and Manish Kumar Jha,
3  A Reexamination of Informed Trading and Firm Size in the Thailand Capital Market  Yafeng Qin, Bin Tang and Min Bai
4  The Discount of Canadian Closed-End Funds and the Cross-Section of Expected Returns  Mohamed A. Ayadi, Hatem Ben-Ameur, Shander Lazrak and Yue Wang
5    Pricing the CBOT T-Bonds Futures Contract  Ramzi Ben-Abdallah, , Hatem Ben-Ameur, and Michele Breton
6  The Global Financial Crisis: Causes and Solutions  Mohammad Ramadhan and Adel Naseeb,
7  An Analysis of the characteristics of firms conducting corporate events inside and outside waves  Antonio Macias, , P. Raghavendra Rau, and Aris Stouraitis,
8  Comparison of traditional risk measures and measures based on utility functions : theoretical    developments and application to hedge funds  Rihab BEDOUI, University of Paris Quest Nanterre La Defense, France and Haykel Hamdi, University of Pantheon, France
9  Comparison of different hedge funds databases using static and dynamic risk measures  Rihab Bedoui 
10  Bubble and burst: A Psychoanalytic Perspective on the Financial Instability  Mohammad Abdul Washad Emambocus and  Gurjeet Dhesi
11  What kind of trading drives return autocorrelation?  Chun-Kuei Hsieh and Shing-Yang Hu
12  Modelling Iran’s Business Cycles Based on Oil Price Shocks  Hossein Mirzaei, Karaj Payame Noor University, Iran
13  Modelling Non-linear, Asymmetric Dependence with Dynamic Copula-Garch Approach- A study of pre-crisis and post crisis period for the International stock market  Ling Xiao And Gurjeet Dhesi, London South Bank University, United Kingdom
14  Investment, Board Governance and Firm Value: A Panel Data Analysis  Ruzita Abdul Rahim, Mohd. Hasimi  Yaacob, Norazlan Alias and Fauzias Mat Nor, National University of Malaysia, Malaysia
15  On the Link Between Currency Substitution and Financial Deepening in the Developing World  Emre Ozsoz, FIT- SUNY/ Fordham University, USA and Eric W. Rengifo, Fordham University, USA
 16     Enterprise-Wide Risk Management (EWRM) Practices: Between Corporate Governance  Compliance and Value Creation   Norlida Abdul Manab, Universiti Utara Malaysia (UUM), MALAYSIA,  Isahak Kassim, and Hj Mohd Rasid Hussin, , Universiti Teknologi MARA (UiTM), MALAYSIA

 Performance Analysis Of A Collateralized Fund Obligation (Cfo) Equity Tranche

 Shady Aboul-Enein, Georges Dionne And Nicolas Papageorgiou
18  Book-to-Market, Size, and Industry Effect  Walid Saleh, Arab Open University, Jordan and Ayman Bitar, Al-Balq’a Applied University/Amman University College for Financial & Administrative Sciences, Jordan
19  Friday The Thirteenth And The Stock Market  Jarkko Peltomäki , Emilia Peni, University of Vaasa, Finland
20  Pointwise Regularity Exponents and Markets Cross-Correlation  Sergio Bianchi and Alexandre Pantanella, University of Cassino, Italy
21  Optimalization Stock Portfolio Shares-Lq45, With Linear Programming Method Approach  Tomy G. Soemapradja and Haryadi Sarjono, BINUS University, Indonesia
22  The Subordination Of Shareholder Claims Against Companies In Financial Distress  Cary Di Lernia and Nigel Finch, The University of Sydney, Australia
23  Investment risk tolerance, before and after recent financial tsunami: A survey in Hong Kong  Thomas Wai-kee YUEN and Chris Wang-Wai CHEN, Hong Kong Shue Yan University, Hong Kong
24  Association between Corporate Governance Mechanisms, Characteristics of Top Management  Teams and Earnings Management  Shi-Ming Huang, Shaio Yan Huang, Tung-Hsien Wu and Tai-Chi Chen, National Chung Cheng University, Taiwan

The Global Financial Crisis: Causes and Solutions

Mohammad Ramadhan and Adel Naseeb

Back to Home page