Global Economy & Finance Journal

Vol.2 No.1 March 2009 Pp.1-19

ISSN:1834-5883

 
 

 

Contents

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  
 

 

   

 

Back To Home Page