|
Finance
Papers |
| Sl
Number |
Title of the
Papers |
Author/Authors |
|
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 |
|
17 |
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 |
|
25 |
The
Global Financial Crisis: Causes and Solutions |
Mohammad Ramadhan and Adel Naseeb |