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Vol. 10 No. 1 (2014)
Published:
2014-06-30
Full Issue
EPUB
Articles
Impact of Foreign and Domestic Order Imbalances on Return and Volatility-volume Relation
Irwan Adi Ekaputra
1–19
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Institutional Investors Trading Strategy in Indonesia’s Government Bond Market During the 2008 Crisis
Isabelle Aranditha Gusdinar, Deddy Priatmodjo Koesrindartoto
21–44
PDF
EPUB
Market Reactions to Share Repurchase Announcements in Malaysia
Mansor Isa, Siew-Peng Lee
45–73
PDF
EPUB
Analysis of Corporate Control: Can the Voting Power Index Outshine Shareholding Size?
Norkhairul Hafiz Bajuri, Shanti Chakravarty, Noor Hazarina Hashim
75–94
PDF
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Default Risk Analysis in Micro, Small and Medium Enterprises: Does Debt Overhang Theory Occur?
Imam Wahyudi
95–131
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Linear Vector Error Correction Model Versus Markov Switching Vector Error Correction Model to Investigate Stock Market Behaviour
Seuk-Wai Phoong, Mohd Tahir Ismail, Siok-Kun Sek
133–149
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The Persistency of International Diversification Benefits: The Role of the Asymmetry Volatility Model
Ung Sze Nie, Choo Wei Chong, Murali Sambasivan, Annuar Md. Nassir
151–165
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