Main Navigation
Main Content
Sidebar
Login
Toggle navigation
Publication
Current
Early View
Past Issues
About the Journal
Editorial Board
Submission Guidelines
Policy
Publishing charge
Contact Us
Search
Home
Archives
Vol. 18 No. 1 (2022)
Published:
2022-07-29
Articles
Economics of Risk-Taking, Risk-Based Capital, and Profitability: Empirical Evidence of Islamic Banks
Faisal Abbas, Shoaib Ali, Imran Yousaf , Wing-Keung Wong
1–31
PDF
Are Korean Individual Investors Irrational in IPO Market?: An Explanation From The Winner’s Curse Perspective
Jae Hoon Min
33–58
PDF
Valuation Effect of Corporate Name Change in Chinese Technology Stocks
Li Hui , Tan Yeng May
59–74
PDF
Corporate Diversification and Stock Price Crash Risk: Do Female Directors Matters? Evidence From Malaysia
Kian-Tek Lee
75–100
PDF
The Impact of CEO and Deal Characteristics on M&A Duration: A Quantile Regression Evidence from an Emerging Market
Haithm Mohammed Hamood Al-Sabri, Norhafiza Nordin, Hanita Kadir Shahar
101–132
PDF
Monetary Stimulus and Bank Liquidity Hoarding in an Emerging Market
Van Dan Dang, Hoang Chung Nguyen
133–161
PDF
Fair Value Accounting and Audit Fees: The Moderating Effect of The Global Financial Crisis in Jordan
Esraa Esam Alharasis, Maria Prokofieva, Colin Clark
163–194
PDF
Systemic Risk and Real Economic Activity: A South African Insurance Stress Index of Systemic Risk
John Weirstrass Muteba Mwamba, Ehounou Serge Eloge Florentin Angaman
195–218
PDF
Volatility Spillover from The Global Oil Price to Asean Stock Markets: A Cross-Quantilogram Analysis
Mien Nguyen Thi Ngoc
219–233
PDF
The Impact of IPO Attributes, Firm-Level Characteristics and Ownership on Malaysian IPO Firms’ Earnings Management
Sani Hussaini Kalgo, Hairul Suhaimi Nahar, Bany Ariffin Amin Noordin
235–262
PDF