No |
Title
|
Author
|
Page |
1 |
Examining Foreign Exchange Behaviour in Asia Pacific and Eastern European Emerging Countries
|
Catherine S. F. Hoª and M. Ariff† |
|
2 |
Absence of Industry Effect in Modelling Corporate Collapse in Australia
|
Ghassan Hossari* |
|
3 |
The Different Valuation of Offer Price By Market Conditions: The Case of Korean IPO Market
|
Sung-Chang Jung? and Hyeon-a Kim?? |
|
4 |
Managing A Firm's Systematic Risk Through Sales Variability Minimization- A Test of Three Competing Techniques
|
Fraydoon Rahnamay Roodposhti, Hashem Nikomaram and Zahra Amirhosseini
|
|
5 |
How To Normalize Financial Markets ?
|
James Michael Haley* |
|
6 |
The Long Run Relationship Between Petroleum and Cereals Prices
|
Fatimah Mohamed Arshad* and Amna Awad Abdel Hameed** |
|
7 |
A Model of Exchange Rate Innovation That Accounts for Short and Long Term Determinants
|
Terry Boulter* and Steven Sullivan** |
|
8 |
Equity Valuation
|
Walid Saleh, Samer Yamin, and Ahmed Mashal |
|
9 |
Operating Measures, IPO Valuation and The Aftermarket Performance: Perspective From Internet Bubble Period
|
Tarek Miloud |
|
|
|
|
|