Cogent Economics & Finance, Taylor & Francis

ISSN: 2332-2039

Collection's Items (Sorted by Title in Descending order): 221 to 240 of 815
Year of PublicationTitleAuthor(s)
2020The conundrum of bank capital structure: Empirical evidence from PakistanSarwar, Bilal; Noor, Muhammad; Uz Zaman, Nadeem; Ur Rehman, Zia
2020A model for assessing the efficiency of government expenditureAlbassam, Bassam A.
2020A model for female South African investors' financial risk toleranceLawrenson, Jessica; Dickason Koekemoer, Zandri
2020Improving loan repayment in Ghana: Does financial literacy matter?Baidoo, Samuel Tawiah; Yusif, Hadrat; Ayesu, Enock Kojo
2020Oil price shocks against stock return of oil- and gas-related firms in the economic depression: A new evidence from a copula approachThu Thuy Nguyen; Nguyen Van Chien; Tran Trong Nguyen
2020The effects of reporting standards and information sharing on loan contracting: Cross-country evidenceGopalakrishnan, Balagopal; Mohapatra, Sanket
2020Unobserved structural shifts and asymmetries in the random walk model for stock returns in African frontier marketsdde Villiers, David; Apopo, Natalya; Phiri, Andrew
2020Market discipline and the regulatory change: evidence from VietnamLe, Tu DQ
2020The impact of foreign direct investment, foreign aid and trade on poverty reduction: Evidence from Sub-Saharan African countriesAnetor, Friday Osemenshan; Esho, Ebes; Verhoef, Grietjie
2020Macroeconomic variables and long-term stock market performance: A panel ARDL cointegration approach for G7 countriesHumpe, Andreas; McMillan, David G.
2020Use anger to guide your stock market decision-making: results from PakistanMoueed, Abdul; Hunjra, Ahmed Imran
2020Price discovery in the cryptocurrency option market: A univariate GARCH approachVenter, Pierre J.; Maré, Eben; Pindza, Edson
2020Impact of primary market on total factor productivity: A cross-country analysisKumar, Vinod; Nidugala, Ganesh Kumar
2020Assessment of model risk due to the use of an inappropriate parameter estimatorSeitshiro, Modisane B.; Mashele, Hopolang P.
2020Determinants of private sector investment in a less developed country: A case of the GambiaAyeni, Raphael Kolade
2020Holdings of sovereign bonds by commercial banks in VietnamVan Dan Dang; Huynh, Japan
2020Investigation of factors influencing risk tolerance among investors using ordinal logistic regression: A case from NepalKarki, Dipesh; Kafle, Trijya
2020Inflation and infrastructure sector returns in emerging markets: Panel ARDL approachMagweva, Rabson; Sibanda, Mabutho
2020The effect of economic policy uncertainty and herding on leverage: An examination of the BRICS countriesMakololo, Prudence; Seetharam, Yudhvir
2020Extreme return-volume relationship in cryptocurrencies: Tail dependence analysisNaeem, Muhammad; Saleem, Kashif; Ahmed, Sheraz; Muhammad, Naeem; Mustafa, Faisal
Collection's Items (Sorted by Title in Descending order): 221 to 240 of 815
Browse