Rasoul Rezvanian, R. Turk Ariss, Seyed Mehdian
págs. 437-454
Economy-wide corruption and bad loans in banking: international evidence
Rajeev Goel, Iftekhar Hasan
págs. 455-461
págs. 463-467
Shifting sentiments in firm investiment: an application to the oil industry
Klaus Mohn, Bard Misund
págs. 469-479
Behavioural patterns as determinants of market movements: evidence from an emerging market
Timotej Jagric, Sebastjan Strasek
págs. 481-491
Evaluating hedging strategies in the foreign exchange market with the stochastic dominance approach
Y.-C. Chiang, T.L. Liao, Tse-An Hsiao
págs. 493-503
Tzu-Yi Yu, Chenghsien Tsai, Hsiao-Tzu Huang, Chuen-Lung Chen
págs. 505-518
págs. 519-528
Finance-growth nexus: evidence from a top global reformer
Jose Brambila Macias, Isabella Massa
págs. 529-544
págs. 545-554
págs. 555-562
Existence and extent of impact of individual stock derivatives on spot market volatility in India
Abhilash S. Nair
págs. 563-600
Is the finance led growth hypothesis robust to alternative measures of financial development?
Rumi Masih, Suhair F. Khan
págs. 601-623
págs. 625-636
Offshore versus local listings of Taiwanese firms: evidence from London, New York and Taipei
R.C.K. Burdekin, Hsin-hui I. H. Whited
págs. 637-649
Do banks respond to capital requirements? Evidence from Indonesia
Rasyad A. Parinduri, Yohanes Eko Riyanto
págs. 651-663
Volatility forecasting in emerging markets with application of stochastic volatility model
Alex YiHou Huang
págs. 665-681