Table of Contents      

                  Finance Papers

 Number

Title of the Papers

Author/Authors

305

The Effect of Derivative Instrument use on Stock Return Performance: Evidence from Banks in Emerging and Recently Developed Countries

: Mohamed Rochdi Keffala.

306

Incremental Information Content of Cash-Flows Versus Funds From Operations and Earnings: Applying New Methodologies in French Context

: Khalid Elouafa.

307

Do Stock-For-Stock Merger Acquirers Manage Earnings? Evidence from Japan

: Huong N. Higgins, Worcester Polytechnic Institute, USA.

308

Corporate Social Responsibility, Corporate Governance and Earnings Quality: Evidence from Korea

: Bo Bae Choi, Doowon Lee and Youngkyu Park.

309

Determinants of the Rigour of Enterprise Risk Management Strategies: Evidence from Australia.

: Michael Seamer, Bo Bae Choi and Doowon Lee

313

Risk Management in Islamic Unit Trust Funds

: Rohami Shafie, Ram Al Jaffri Saad, Nur Adiana Hiau Abdullah, and Azizi @ Hamizi Hashim.

324

Structural Default Modeling: A Hybrid Based Approach

: George M. Jabbour, Marat V. Kramin, Stephen D. Young and Shujun (Ken) Yu.

325

Are Cooperative Banks a Lever For Promoting Bank Stability? Evidences from the Recent Financial Crisis in OECD Countries Oriani.

: Laura Chiaramonte, Federica Poli and Marco

326

Idiosyncratic Risk and Returns – Australian Evidence

: Timothy Whittaker, Robert J. Bianchi, Michael E. Drew and Eduardo Roca.

333

Tax Shields in Colombia and Their Effect on Leverage and Investments

: Julián Benavides F.

335

A Cross-Sector Analysis of Financial Liquidity: Evidence From Silesian Region, Poland

: Joanna Błach, Monika Wieczorek-Kosmala and Maria Gorczyńska.

336

Rating Agencies and Reputational Capital: An Empirical Perspective

: Alexander B. Matthies.

 

 

 

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update 09-07-2012