Cross-Sectional Returns and Fama-MacBeth Betas for S&P Indices
Author(s): V. Reddy Dondeti | Jr. Carl B. McGowan
Volume: 2
Issue: 4
Year: 2013




Isolating the ‘Pure’ Effect of the 2004/2005 Bank Consolidation Policy on Performance of Banks in Nigeria, Using the Chow Test (2000-2010)
Author(s): Ibrahim Gerarh Umaru
Volume: 2
Issue: 4
Year: 2013




Corporate Governance, Family Ownership and Earnings Management: Emerging Market Evidence
Author(s): Humeyra Adiguzel
Volume: 2
Issue: 4
Year: 2013




Cronyism and Delaware Incorporation: An Examination on Excess Compensation
Author(s): Qian Xie
Volume: 2
Issue: 4
Year: 2013




Survival Analysis on the Timing of Foreign Banks into China from the Aspect of Traditional Real Option
Author(s): Shujuan Ding | Dafei Chen
Volume: 2
Issue: 4
Year: 2013




Evaluation of the European Central Bank’s Monetary Policy in Terms of Taylor Rule
Author(s): Roxana Scantee | Ovidiu Stoica
Volume: 2
Issue: 4
Year: 2013




Charitable Donations: Feeling Good but Hardly Worth It
Author(s): Alka Bramhandkar | Matthew Kimmey
Volume: 2
Issue: 4
Year: 2013




The Influence of Financial Industry Cluster on Economic Growth: Three Economic Zones in China
Author(s): Xiaoyan Zhang | Dafei Chen
Volume: 2
Issue: 4
Year: 2013




Analysts or Vultures: Do Transient Investors Target Firms with Lower Financial Reporting Quality?
Author(s): Todd Palmer White
Volume: 2
Issue: 4
Year: 2013




The Countermeasures Research on the Issues of Enterprise Financial Early Warning System
Author(s): Qian Luo | Xilin Liu
Volume: 2
Issue: 4
Year: 2013




Intellectual Capital and Bank Performance in Europe
Author(s): Gimede Gigante
Volume: 2
Issue: 4
Year: 2013




IFRS Adoption in Italy: Which Effects on Accounting Figures and Subjectivity?
Author(s): Silvano Corbella | Cristina Florio | Francesca Rossignoli
Volume: 2
Issue: 4
Year: 2013




A Case Study of the Local Bank Merger: Is the Acquiring Entity Better Off?
Author(s): Maran Marimuthu | Haslindar Ibrahim
Volume: 2
Issue: 2
Year: 2013




How Consumers Pay: Adoption and Use of Payments
Author(s): Scott Schuh | Joanna Stavins
Volume: 2
Issue: 2
Year: 2013




A Comparison of the Financial Characteristics of German and French Manufacturing Firms
Author(s): Ilhan Meric | Kathleen Dunne | Wayne Smeltz | Gulser Meric
Volume: 2
Issue: 1
Year: 2012




An Empirical Analysis of the Determinants of Greenhouse Gas Voluntary Disclosure in Australia
Author(s): Zahra Borghei-Ghomi | Philomena Leung
Volume: 2
Issue: 1
Year: 2012




The Accounting Profession and the Female Gender in Ghana
Author(s): Ernest Bruce-Twum
Volume: 2
Issue: 1
Year: 2012




The Orthogonal Response of Stock Returns to Dividend Yield and Price-to-Earning Innovations
Author(s): Vichet Sum
Volume: 2
Issue: 1
Year: 2012




Stock Price Behavior around Extreme Trading Volumes
Author(s): Megan Yuan Sun
Volume: 2
Issue: 1
Year: 2012




Volatility Transmission from Mature Global Stock Markets to Middle East and North African Stock Markets
Author(s): Akash Dania | John E. Spillan
Volume: 2
Issue: 1
Year: 2012




Tax-Loss Selling and the Year-End Behavior of Dow Jones Stocks
Author(s): Max Gold | Jeff Levere | Gary Smith
Volume: 2
Issue: 1
Year: 2012




The Relationship between Firms’ Characteristics in the Periods Prior to Bankruptcy Filing and Bankruptcy Outcome
Author(s): Ena Rose-Green | Linda Lovata
Volume: 2
Issue: 1
Year: 2012




Value Relevance of Accounting Information and IPO Performance in Indonesia
Author(s): Tanweer Hasan | Muliaman Hadad | Rifat Gorener
Volume: 2
Issue: 1
Year: 2012




Presentation Modality and Source Monitoring During Management Inquiry: Effects on Auditors’ Reliability Judgments
Author(s): Kelly F Gamble
Volume: 2
Issue: 1
Year: 2012




The Association between Executive Turnover, Family Business and Firm Performance: Evidence in Taiwan
Author(s): Ling-Ling Chang | Fujen Daniel Hsiao | Yan Hu
Volume: 1
Issue: 2
Year: 2012




The Global Sharing Practice and Mechanism of Subprime Mortgage Crisis
Author(s): Lu Guan | Peng Wang
Volume: 1
Issue: 2
Year: 2012




Dynamics of Network of Global Stock Markets
Author(s): Xiao Fan Liu | Chi K. Tse
Volume: 1
Issue: 2
Year: 2012




An Arbitrage Model for Calculating Firm Beta at Different Leverage Levels
Author(s): Alka Bramhandkara | Joseph Cheng | Julie Fitzpatrick
Volume: 1
Issue: 2
Year: 2012




When Adaptation is NOT the Option: Does the ERC Attenuate When Firms Are Less Likely to Use the Adaptation Option?
Author(s): Mitchell Oler
Volume: 1
Issue: 2
Year: 2012




Does the Gross Spread Compensate Lead Underwriters for Analyst Coverage?
Author(s): Cheolwoo Lee
Volume: 1
Issue: 2
Year: 2012




Age, CEO Succession, and Risk Taking
Author(s): Eahab Elsaid | Nancy D Ursel
Volume: 1
Issue: 2
Year: 2012




Testing for Rational Bubbles in the Commodity Market
Author(s): Tadahiro Nakajima | Shigeyuki Hamori
Volume: 1
Issue: 2
Year: 2012




Daytime vs. Overnight Trading in Equity Index Futures Markets
Author(s): Sandip Dutta | Subhash C Sharma
Volume: 1
Issue: 2
Year: 2012




Time-Varying Behavior of Stock Prices, Volatility Dynamics and Beta Risk in Industry Sector Indices of the Shanghai Stock Exchange
Author(s): Dimitrios Koutmos
Volume: 1
Issue: 2
Year: 2012




Asset Liquidity and Mutual Fund Management Fees: Evidence from Closed-End Mutual Funds
Author(s): Charles Cullinan | Xiaochuan Zheng
Volume: 1
Issue: 2
Year: 2012




Financial Contracting and Warrant Structure: Unit IPOs vs. Chapter 11 Reorganizations
Author(s): John S. Howe | Chris Tamm
Volume: 1
Issue: 2
Year: 2012




The Effects of Perceived Stress and Facebook on Accounting Students’ Academic Performance
Author(s): Helen Gabre | Gaurav Kumar
Volume: 1
Issue: 2
Year: 2012




The Intervening Effect of Global Financial Condition on the Determinants of Bank Performance: Evidence from Nigeria
Author(s): James Oladapo Alabede
Volume: 1
Issue: 2
Year: 2012




Opportunity Costs of Sub-Optimal Diversification
Author(s): James A. Yunker | Alla A. Melkumian
Volume: 1
Issue: 2
Year: 2012




Risk Implications of Increased Off-Balance Sheet Disclosure: The Case of FIN 46 and SOX
Author(s): Carolyn M. Callahan | Angela Wheeler Spencer
Volume: 1
Issue: 2
Year: 2012




Real Options Analysis for Commodity Based Mining Enterprises with Compound and Barrier Features
Author(s): Otto Konstandatos | Timothy Kyng
Volume: 1
Issue: 2
Year: 2012




Early Career Interest Development in Accounting: The Effect of Race after Controlling Math Performance and Gender
Author(s): Fang Yang | Lun Mo | Burak Dolar
Volume: 1
Issue: 2
Year: 2012




Evidence on the Financial Capability of Elder Workers Facing Lump-Sum Retirement Plan Distributions
Author(s): Jason Scott Seligman
Volume: 1
Issue: 2
Year: 2012




An Empirical Investigation of the Relationship between Executive Risk Sharing and Stock Performance in New and Old Economy Firms
Author(s): Mohamed I. Gomaa
Volume: 1
Issue: 1
Year: 2012




Barron's Survey: The World's Best CEOs
Author(s): Greg Filbeck | Raymond Gorman | Xin Zhao
Volume: 1
Issue: 1
Year: 2012




Testing the Weak Form of Efficient Market Hypothesis in Nigerian Capital Market
Author(s): Mayowa Gabriel Ajao | Richard Osayuwu
Volume: 1
Issue: 1
Year: 2012



