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Vol. 3 No. 1 (2013)
Vol. 3 No. 1 (2013)
Published:
2013-01-03
Articles
A Model of Economic Growth with Public Finance: Dynamics and Analytic Solution
Oliviero Antonio Carboni, Paolo Russu
1-13
PDF
Dynamics of Financial System: A System Dynamics Approach
Girish K Nair, Lewlyn Lester Raj Rodrigues
14-26
PDF
Turkish Banking Sector's Profitability Factors
Songül Kakilli ACARAVCI, Ahmet Ertuğrul ÇALIM
27-41
PDF
Personal Income Tax Policy Analysis: Albania vs. United States
Agim Binaj, Ilir Binaj, Irini Limaj
42-49
PDF
An Empirical Analysis of the Relationship between Unemployment and Theft Crimes
Majid Maddah
50-53
PDF
Measuring Bank Performance of Nepali Banks: A Data Envelopment Analysis (DEA) Perspective
Karan Singh Thagunna, Shashank Poudel
54-65
PDF
Risks and Efficiency in the Islamic Banking Systems: The Case of Selected Islamic Banks in MENA Region
Ali Said
66-73
PDF
Relationships between Employment and Growth from Industrial Perspective by Considering Employment Incentives: The Case of Turkey
Emre Aksoy
74-86
PDF
Empirical Testing of Modified Black-Scholes Option Pricing Model Formula on NSE Derivative Market In India
Matloob Ullah Khan, Ambrish Gupta, Sadaf Siraj
87-98
PDF
The Effect of Environmental Regulations on Financial Performance in Tanzania: A survey of Manufacturing Companies Quoted on the Dar es Salaam Stock Exchange
Daniel Linus Naila
99-112
PDF
Capital Structure, Cost of Debt and Dividend Payout of Firms in New York and Shanghai Stock Exchanges
Jun Jiang, Komain Jiranyakul
113-121
PDF
Determinants of Sovereign Rating: Factor Based Ordered Probit Models for Panel Data Analysis Modeling Framework
Dilek Teker, Aynur Pala, Oya Kent
122-132
PDF
Comparative Advantage of Leather Industry in Pakistan with Selected Asian Economies
Sadaf Shahab, Muhammad Tariq Mahmood
133-139
PDF
Does Market Timing Drive Capital Structure? Empirical Evidence from an Emerging Market
Sibel Çelik, Yasemin Deniz Akarim
140-152
PDF
Subprime Crisis and Financial Contagion: Evidence from Tunisia
Mongi GHARSELLAOUI
153-162
PDF
The Determinants of Stock Market Index: VAR Approach to Turkish Stock Market
Eşref Savaş Başçı, Süleyman Serdar Karaca
163-171
PDF
Analysis of Macroeconomic Determinants of Exchange Rate Volatility in India
Anita Mirchandani
172-179
PDF
Stability of the Participation Banking Sector Against the Economic Crisis in Turkey
Metin Aktaş
180-190
PDF
Dynamics of Mutual Funds in Relation to Stock Market: A Vector Autoregressive Causality Analysis
Md. Shahadath Hossain, A.B.M. Munibur Rahman, Md. Salah Uddin Rajib
191-201
PDF
Hedonic Price Function Estimation for Mobile Phone in Iran
Sayed Mahdi Mostafavi, Somaye Sadat Roohbakhsh, Mehdi Behname
202-205
PDF
Empirical Investigation on Globalization and Social Polarization: Cross Country Analysis
Aylin Koç, Ahmet Yılmaz Ata, Zeynep Çirkin
206-213
PDF
Herding Behavior Under Markets Condition: Empirical Evidence on the European Financial Markets
Moatemri Ouarda, Abdelfatteh el Bouri, Olivero Bernard
214-228
PDF
Evaluation of the Common Agricultural Policy's Impact upon Inflation Rate in Central, Eastern and Southern Europe Countries
Ovidiu Stoica, Monica Damian
229-236
PDF
Determinants of Financial Performance of Commercial Banks in Kenya
Vincent Okoth Ongore, Gemechu Berhanu Kusa
237-252
PDF
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