23 publication(s) trouvée(s)
Article scientifique
Impact of relative and absolute financial risks on share prices: a Zimbabwe Stock Exchange perspective
The impact of financial risks on share prices concerns investors, company executives and accounting standards developers. Investors need this information …
Article scientifique
Shareholders’ activism as a moderator of the relationship between corporate governance and return on investment
The purpose of shareholders’ involvement in the process of governance is to add corporate value and achieve better governance and …
Article scientifique
Persistence of fiscal deficits in Nigeria: examining the issues
Due to a huge financing gap in many developing nations, governments use budget deficit to facilitate growth and development. However, …
Article scientifique
Financial risk and performance of small and medium enterprises in Nigeria
Small and medium enterprises (SMEs) are imperative for the growth of a striving economy because they cater for a huge …
Article scientifique
Does enterprise risk management impact accounting quality? Evidence from the Nigerian financial institutions
This research empirically looked at Enterprise Risk Management impact on accounting quality of selected listed firms in the Nigerian financial …
Article scientifique
Has Nigerian agricultural output spurred economic growth: the financing gap model using stepwise regression
This study examined if the Nigerian agricultural output has spurred economic growth and the best fit agricultural financing gap model …
Article scientifique
Exchange rate volatility and foreign portfolio investment in Nigeria
The study examines the link between exchange rate volatility and foreign portfolio in Nigeria using data that covers the period …
Article scientifique
Auto-regressive Distributed Lag Model for long-run US household debt determinants
US household debt increased on a yearly basis from 1987 to 2007. In addition, household debt in the USA nearly …
Article scientifique
Correlation of stock market returns in the West African region from 2008 to 2016
Stock markets over the world have become more interconnected due to activities of foreign investors in search for alternative financial …
Article scientifique
Sectorial evaluation of Islamic banking contracts: a fuzzy multi-criteria-decision-making approach
Improving the efficiency and performance of microfinance investments is essential to achieve its objectives in terms of economic and social …
Article scientifique
Applied prospect theory: assessing the βs of M&A-intensive firms
Behavioral components of Kahneman and Tversky’s (1979) prospect theory (PT) were applied to derive an adjusted Capital Asset Pricing Model …
Article scientifique
Stock liquidity, firm size and return persistence around mergers and acquisitions announcement
The paper examines market liquidity and size of 396 US firms engaged in mergers and acquisitions (M&A). The announcement-period returns …
Article scientifique
Determinants of behavior of inflation rate in Nigeria
Inflation is an important macroeconomic issue that has continued to dominate discussions at major economic fora over time. Governments all …
Article scientifique
A Markov regime switching approach to estimating the volatility of Johannesburg Stock Exchange (JSE) returns
The study used the Markov regime switching model to investigate the presence of regimes in the volatility dynamics of the …
Article scientifique
Leveraged buyout booms and busts: can Islamic finance help prevent and mitigate such market distortions?
The industry of private equity and leveraged buyout has been, since its beginnings, subject to several chapters of bubbles and …
Article scientifique
The impact of family involvement in business on capital structure decisions: a literature review
Family-controlled firms are a unique form of business because of the special nature of its ownership structure, management style, and …
Article scientifique
Multi-agent modeling and simulation of a stock market
The stock market represents complex systems where multiple agents interact. The complexity of the environment in the financial markets in …
Article scientifique
An evaluation and comparison of Value at Risk and Expected Shortfall
As a risk measure, Value at Risk (VaR) is neither sub-additive nor coherent. These drawbacks have coerced regulatory authorities to …
Article scientifique
Corporate social environmental reporting and stock prices: an analysis of listed firms in Nigeria
The study investigated Corporate Social Environmental Reporting and its association with stock prices (using market price per share as at …
Article scientifique
The effect of age and gender on financial risk tolerance of South African investors
Financial risk tolerance refers to the amount of risk a person is willing to take when making financial decisions. Previous …