Content
March 2024, Volume 8, Issue 2
- 199-218 Confidence intervals for functions of signal-to-noise ratio with application to economics and finance
by Warisa Thangjai & Sa-Aat Niwitpong
January 2024, Volume 8, Issue 2
- 169-198 CEO power and stock price crash risk in India: the moderating effect of insider trades
by Ankita Kalia
July 2024, Volume 8, Issue 2
- 146-161 A model of regional housing markets in England and Wales
by Arnab Bhattacharjee & Chris Jensen-Butler
October 2023, Volume 8, Issue 2
- 240-266 Investigating “organizational maturity” in order to provide “blockchain banking service” based on “FinTech” (through “the CMMI” in “Parsian Bank”)
by Komeil Ali Taghavi & Mohammadreza Mashayekh
July 2023, Volume 8, Issue 2
- 219-239 Global financial connectivity and ineffectiveness of sovereign debt: implications for business activities in South Asia
by Muhammad Ayub Mehar
August 2023, Volume 8, Issue 2
- 267-293 Bank capital, earnings smoothing and provisioning practices in Nigeria: IFRS and risk evidence
by Abdulai Agbaje Salami & Ahmad Bukola Uthman
November 2023, Volume 8, Issue 2
- 162-168 How to select a model if we know probabilities with interval uncertainty?
by Vladik Kreinovich
March 2023, Volume 7, Issue 3
- 358-379 Does macroeconomic stability promote economic growth? Some econometric evidence from SAARC countries
by Md. Nur Alam Siddik
January 2023, Volume 7, Issue 3
- 424-434 Governance in financial institutions: key elements and preventing the failures
by Ashish Srivastava
February 2023, Volume 7, Issue 3
- 380-396 Determinants of efficiency of non-bank financial institutions: an empirical evidence from Bangladesh
by Mohammad Mizenur Rahman & Syed Mohammad Khaled Rahman & Sakib Ahmed
September 2023, Volume 7, Issue 3
- 294-309 Predicting Chinese stock prices using convertible bond: an evidence-based neural network approach
by Paravee Maneejuk & Binxiong Zou & Woraphon Yamaka
July 2023, Volume 7, Issue 3
- 333-357 Gain-probability diagrams as an alternative to significance testing in economics and finance
by David Trafimow & Ziyuan Wang & Tingting Tong & Tonghui Wang
August 2023, Volume 7, Issue 3
- 310-332 An analysis of dependency of stock markets after unlimited QE announcements during COVID-19 pandemic
by Ornanong Puarattanaarunkorn & Kittawit Autchariyapanitkul & Teera Kiatmanaroch
March 2023, Volume 7, Issue 2
- 191-196 How to reach a joint decision with the smallest need for compromise
by Sofia Holguin & Olga Kosheleva
July 2023, Volume 7, Issue 2
- 166-179 A prelude to statistics arising from optimal transport theory
by Hung T. Nguyen
June 2023, Volume 7, Issue 2
- 180-190 A partial solution for the replication crisis in economics
by William M. Briggs
February 2022, Volume 7, Issue 3
- 435-453 Has bank credit really impacted agricultural productivity in the Central African Economic and Monetary Community?
by Chi Aloysius Ngong & Chinyere Onyejiaku & Dobdinga Cletus Fonchamnyo & Josaphat Uchechukwu Joe Onwumere
December 2022, Volume 7, Issue 3
October 2022, Volume 7, Issue 2
- 217-233 The gold price – Inflation relation in the case of Vietnam: empirical investigation in the presence of structural breaks
by Thuy Hang Duong - 234-250 Impression management tactics in Covid-19 related disclosures: a study on the annual reports of Bangladeshi listed insurance companies
by Dewan Mahboob Hossain & Md. Saiful Alam & Mohammed Mehadi Masud Mazumder - 251-276 Market competition, capital regulation and cost of financial intermediation: an empirical study on the banking sector of Bangladesh
by MD. Rasel Mia - 277-292 Foreign direct investment and stock market development in Nepal
by Keshab Khatri Chettri & Jeevan Kumar Bhattarai & Ramji Gautam
September 2022, Volume 7, Issue 2
October 2021, Volume 8, Issue 2
- 294-306 Money supply, inflation and output: an empirically comparative analysis for Vietnam and China
by Pham Dinh Long & Bui Quang Hien & Pham Thi Bich Ngoc