|
Issue |
Title |
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Vol 6, No 2 (2017) |
The Impact of Supply Chain Management on Financial Performance and Responsibility Accounting Agribusiness Case from Egypt |
Abstract
PDF
|
Mohamed Ali Wahdan, Mohamed Ashraf Emam |
|
Vol 7, No 2 (2018) |
The Impact of Tax Amnesty Announcement towards Share Performance and Market Reaction in Indonesia |
Abstract
PDF
|
Lidya Agustina, Yuliana Gunawan, Windawaty Chandra |
|
Vol 6, No 2 (2017) |
The Impact of Tax Planning in Industrial Public Joint Stock Companies upon the Performance of the Industrial Companies Listed in the Amman Stock Exchange Market |
Abstract
PDF
|
Khalid Ali Ahmad Alduneibat, Mohammad abdallah fayad altawalbeh, Firas Na'el Rawhi Hashem |
|
Vol 5, No 1 (2016) |
The Impact of the Opinions of the Independent Auditors on the Investor Decisions in Banking Sector: An Empirical Study on the Banks Operating in Turkey |
Abstract
PDF
|
Basak Erdem Rena, Elif Guneren Genc, Fatma Ulucan Ozkul |
|
Vol 6, No 1 (2017) |
The Impacts of Non-Performing Loans upon the Prices of Stocks in Jordanian Commercial Banks |
Abstract
PDF
|
Firas Na'el Rawhi Hashem, Khalid Ali Ahmad Alduneibat, Mohammad abdallah fayad altawalbeh |
|
Vol 4, No 3 (2015) |
The Impairment of Long-Lived Assets and Reversing Revaluation Review under US GAAP VS. IFRS Models in the United States |
Abstract
PDF
|
Karina Kasztelnik |
|
Vol 4, No 4 (2015) |
The Influence of Audit Risk and Materiality Guidelines on Auditors’ Planning Materiality Assessment |
Abstract
PDF
|
Julia Baldauf, Marcel Steller, Rudolf Steckel |
|
Vol 9, No 2 (2020) |
The Influence of Bank Credit on Financial Structure and Financial Return for the Romanian Companies Active in Car Parts Distribution |
Abstract
PDF
|
Baciu (Boanta) Rodica, Brezeanu Petre, Adrian Simon |
|
Vol 9, No 3 (2020) |
The Influence of Behavioural Finance Factors and the Moderating Effects of Contextual and Demographic Factors on Individual Investor’s Investment Performance |
Abstract
PDF
|
Tuan Derwyn Hamidon, Sampath Kehelwalatenna |
|
Vol 13, No 2 (2024) |
The Influence of Board Attributes towards Tax Avoidance: Evidence from Malaysian Public Listed Companies |
Abstract
PDF
|
Siti Nursyafiqa Syaqireen Azmi, Nadiah Abd Hamid, Ida Suriya Ismail, Mohd Rizal Palil |
|
Vol 2, No 4 (2013) |
The Influence of Financial Industry Cluster on Economic Growth: Three Economic Zones in China |
Abstract
PDF
|
Xiaoyan Zhang, Dafei Chen |
|
Vol 6, No 1 (2017) |
The Influence of Information and Communication Technologies on the Regional Innovative Activity |
Abstract
PDF
|
Evgeniy Popov, Konstantin Semyachkov, Viktoriya Simonova |
|
Vol 1, No 2 (2012) |
The Intervening Effect of Global Financial Condition on the Determinants of Bank Performance: Evidence from Nigeria |
Abstract
PDF
|
James Oladapo Alabede |
|
Vol 3, No 4 (2014) |
The Joint Effects of Monitoring and Incentive Alignment on Accounting Conservatism |
Abstract
PDF
|
Kiran Parthasarathy |
|
Vol 4, No 3 (2015) |
The June Phenomenon and the Changing Month of the Year Effect |
Abstract
PDF
|
Anthony Yanxiang Gu |
|
Vol 4, No 4 (2015) |
The Long-run Performance of Chinese Private Firm IPOs |
Abstract
PDF
|
Jing Chi, Jing Liao, Lin Qian |
|
Vol 8, No 1 (2019) |
The Low Beta Anomaly and Estimation Interval |
Abstract
PDF
|
Brandon Renfro |
|
Vol 7, No 4 (2018) |
The Need for Audit Trinity Report to Reinforce Financial Reporting Integrity |
Abstract
PDF
|
Mohammad K. Shbeilat |
|
Vol 7, No 2 (2018) |
The Nexus between Corporate Social Responsibility Disclosure and Financial Performance: Evidence from the Listed Banks, Finance and Insurance Companies in Sri Lanka |
Abstract
PDF
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J. Aloy Niresh, W. H. E. Silva |
|
Vol 12, No 3 (2023) |
The Nexus between Internal CSR and Auditors’ Attitudes Towards Unprofessional Behaviour: The Moderating Effect of National Culture |
Abstract
PDF
|
Ibrahim Emair Albawwat |
|
Vol 13, No 2 (2024) |
The Nexus of Cybercrime and Money Laundering: A Conceptual Paper |
Abstract
PDF
|
Mohd Afiq bin Azero, Sarah Nur Aisyah Kay Abdullah, Zailawati Zakaria, Hasfaliza Haris, Yusri Hazrol Yusoff |
|
Vol 13, No 2 (2024) |
The Number of Stocks Before (n) and After Portfolio Optimization (k): The Heuristic k ≈ sqrt(n) |
Abstract
PDF
|
Manuel Tarrazo |
|
Vol 8, No 1 (2019) |
The Optimal Level of Earnings Management Deterrence |
Abstract
PDF
|
Michael Ehud Yampuler |
|
Vol 2, No 1 (2013) |
The Orthogonal Response of Stock Returns to Dividend Yield and Price-to-Earning Innovations |
Abstract
PDF
|
Vichet Sum |
|
Vol 7, No 1 (2018) |
The Perceptions of Credit Officers towards External Auditors: A Case Study from Jordan |
Abstract
PDF
|
Hasan Mansur, Anita Tangl |
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