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Vol. 10 No. 1 (2012): Summer 2012
Vol. 10 No. 1 (2012): Summer 2012
DOI:
https://doi.org/10.58886/jfi.v10i1
Published:
2012-06-30
Full Issue
Journal of Finance Issues 10(1)
On the Risk Exposure of Asia Pacific Banking Industry
Chu-Sheng Tai
1-11
pdf
Sovereign Debt Markets in Euro-zone: Implications for Capital Markets Integration
G. N. Naidu, Askar Choudhury
12-21
pdf
Reexamining Performance of Socially Responsible Firms
Tarek Zaher
22-31
pdf
Governance and Regulatory Determinants of Financial Markets Resilience - Cross Country Evidence
Jamshed Uppal, Inayat Mangla
32-47
pdf
The Transmission of Shocks to LIBOR Risk Spreads and Nominal Risk-Free Rates
Albert DePrince, Jr, Pamela Morris
48-63
pdf
Native American Banks: Overview and Recent Performance
William Lepley, Robert Nagy
64-74
pdf
Investors’ Ripple Effects in the Restructured Financial Environment
Cheng-Huei Chiao, Robert Kao, Chiou-Fa Lin
75-90
pdf
Using Two Sets of Multiple Moving Averages of Price to Time Positions in a Portfolio of Exchange Traded Funds
Timothy Peterson
91-100
pdf
The Volatility Transmission of Gold around the World
Ingyu Chiou
101-107
pdf
How Effective Are Foreign Currency Futures Markets As Hedging Vehicles?
Jeong Lee
108-113
pdf
The Effects of Human Capital on Attracting Foreign Direct Investment
Hossein Varamini, Stephen McGonigle, Dena Memari
114-122
pdf
Equity Method of Forecasting
David Schalow, Christine Schalow
123-129
pdf
Corporate Governance and Performance of Banking Sector in Pakistan
Ramiz Rehman, Inayat Mangla
130-139
pdf
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