Vol. 4, No. 2, December 2012
Table of Contents
| Testing for Convergence in the European Insurance Sector: A Non-Linear Factor Approach | |
| Nicholas Apergis, Alexandros Gabrielsen, James Payne, Paolo Zagaglia | 1-17 |
| FII and Its Impact on Stock Market: A Study on Lead-Lag and Volatility Spillover | |
| Namita Rajput, Parul Chopra, Ajay Rajput | 18-38 |
| Outside Directors, Corporate Governance and Firm Performance: Empirical Evidence from India | |
| Naveen Kumar, J. P. Singh | 39-55 |
| Corporate Diversification and Financial Performance: A Review of Literature | |
| Meysam Doaei, Melati B. Ahmad Anuar, Nik Intan Norhan Adb Hamid | 56-74 |
| The Percent-Change Extension to the DuPont Identity | |
| David Eagle, Arsen Djatej | 75-85 |
| A Feasibility Analysis of Black-Scholes-Merton Differential Equation Model for Stock Option Pricing by Using Historical Volatility : With Reference to Selected Stock Options Traded in NSE | |
| Dr. Rekha Kala A M, Dr Shyam Lal Dev Pandey | 86-106 |
| Do Golden Parachutes increase CEO’s DESIRE to be taken over? empirical evidence from australia and united states | |
| Krishna Reddy KR, Sazali Abidin, Caillor Woon | 107-130 |
| Does Islamic Interbank Rate Influence Bank Characteristics and Economic Cycle in Malaysian Monetary Transmission? | |
| Fidlizan Muhammad, Ahmad Azam Sulaiman@Mohamad, Mohd Yahya Mohd Hussin, Azila Abdul Razak | 131-143 |
| Due Process and Budget Implementation: An Evaluation of Nigerian Public Sector Auditing | |
| Felix Olurankinse | 144-154 |
| An Analysis of Volatility Co-Movement between Malaysia, US, UK and Japan Stock Markets | |
| Mohamed Shikh Albaity, T. Shanmugam | 155-179 |
| The Global Financial Crisis’ Impact on Short-term Performance of IPO: The Case Study of New Zealand Firms’ IPOs | |
| Fitriya Fauzi, Nirosha Hewa-Wellalage, Stuart Locke | 180-198 |
| Futures Trading and Spot Market Volatility: Evidence from Indian Commodity Markets | |
| Prof Sanjay Sehgal, Namita Rajput, Rajeev Kumar Dua | 199-217 |
| Long Memory Property In Return and Volatility: Evidence from the Indian Stock Markets | |
| Joshi Prashant Maheshchandra | 218-230 |
| Public Debt and the Crisis of Development in Nigeria Econometric Investigation | |
| Chris O. Udoka, Samson Ogege | 231-243 |
| Survey of Shareholders Composition's Effect on Amount of Cash Dividend in Tehran Stock Exchange | |
| Amin Taghavi Baghan, Hossein Shoghi, Abolfazl Ghadiri Moghadam, Marzieh Yazdi | 244-262 |
| CEO Succession: Choosing Between Family Member or Outsider? | |
| Noor Afza Amran | 263-276 |
| Capital Flight and Nigeria Economic Growth | |
| AJAYI LAWRENCE BOBOYE | 277-289 |
| Disclosure Quality and Firm's Characteristics: Evidence from Iran | |
| Nasrollah Takhtaei, Zahra Mousavi | 290-300 |
| Valuation of a Holding Company: The Case of SK C&C IPO | |
| Seoungpil Ahn, Gwangheon Hong, Doseong Kim, Young-Seok Park | 301-313 |
| An Evaluation of Intra-Trade Potential in Economic Community of West African States (ECOWAS) | |
| Anokye Mohammed Adam | 314-331 |
| Accounting and Engineering Students' Perceptions of Good Teaching in Universities | |
| Terri Trireksani | 332-346 |
| An Empirical Investigation of the Profitability Anomaly in the Indian Stock Market | |
| Sanjay Sehgal, Srividya Subramaniam | 347-362 |
| Total Quality Management and SMPS Performance Effects in Nigeria: A Review of Six Sigma Methodology | |
| Kenneth Enoch Okpala | 363-378 |
| Financial Markets between Efficiency and Persistence: Empirical Evidence on Daily Data | |
| Kaouther FLIFEL | 379-400 |
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