Sunday, October 14, 2012

Recent Publication of Research Journal of Finance and Accounting

http://www.iiste.org/Journals/index.php/RJFA


Vol 3, No 8 (2012)

Table of Contents

Articles

MEASURING AND ALLOCATING PORTFOLIO RISK CAPITAL IN THE REAL WORLD: PRACTICAL APPLICATION OF VALUE-AT-RISK AND EXPECTED SHORTFALLPDF
Kofi A. Ababio, Samuel D. Oduro1-12
Application Extent of the Enterprise Resource Planning Systems (ERP) Main Components in the Jordanian Industrial Public FirmsPDF
Firas Naim Dahmash, Majed Abdel Majid Qabajeh, Nidal Mahmoud Al Ramahi, Khalil Mahmoud Al Refaee13-18
Corporate Governance Compliance Practices of Indian CompaniesPDF
Mehul Raithatha, Varadraj Bapat19-26
Credit Default Swap: Regulations, Changes and Systemic RiskPDF
Shikha Gupta27-37
Demand for, and Supply of Credit in Nigerian Banking SectorPDF
Akinleye G.T, Ojenike J.O, Afolabi A.A38-43
Evaluating the Viability of Shea Butter Production: A Comparative AnalysisPDF
Haruna Issahaku, Daniel B. Sarpong, Ramatu Al-hassan44-52
Guidelines for Revenue Management in Small, Medium, and Micro Restaurant Enterprises: A Case Study ApproachPDF
Thembisile Molose53-62
Gender Diversity in the Boardroom and Corporate Philanthropy: Evidence from NigeriaPDF
Musa Inuwa Fodio, Victor Chiedu Oba63-69
MANDATORY AUDIT ROTATION AND AUDIT QUALITY: SURVEY OF SOUTHERN NIGERIAPDF
John Chika Onwuchekwa, Dominic Ose Erah, Famous Izedonmi70-77
Micro-Insurance: A Veritable Product Diversification Option for Micro-Finance Institutions in NigeriaPDF
Ikechukwu Acha, Mfon Sampson Ukpong78-85
An Analysis of Effective Responsibility Accounting System Strategies in the Zimbabwean Health Sector (2003-2011)PDF
Moses Nyakuwanika, Gumisai Jacob Gutu, Silibaziso Zhou, Frank Tagwireyi, Clainos Chidoko86-92
The Investor Indonesia Behavior on Stock Investment Decision Making: Disposition Effect, Cognition and Accounting InformationPDF
Elizabeth Lucky Maretha Sitinjak, Imam Ghozali93-100
RETURN ON INVESTMENT: CONCEPTIONS AND EMPIRICAL EVIDENCE FROM BANKING STOCKSPDF
E. Chuke Nwude101-110
Socio-economic factors on Individual Behaviour of Mutual fund in Chennai City, India: Evidence from Juvenile age groupPDF
S Ramalingam, S Tamilarasan111-118
Threshold autoregressive (TAR) &Momentum Threshold autoregressive (MTAR) models SpecificationPDF
Muhammad Tayyab, Ayesha Tarar, Madiha Riaz119-127
The association between earning management and corporate governance – a survey from EgyptPDF
Marwa abdel razek128-131
COMPARATIVE ANALYSIS OF FAIR VALUE AND HISTORICAL COST ACCOUNTING ON REPORTED PROFIT: A STUDY OF SELECTED MANUFACTURING COMPANIES IN NIGERIAPDF
BESSONG, PETER KEKUNG, CHARLES, EFFIONG132-149
An analysis of customers’ loyalty to banks in GhanaPDF
Yazeed Abdul Mumin, Paul Kwame Nkegbe, Naasegnibe Kuunibe150-158
Predicting Bank Failure in Nigeria using Principal Component Analysis and D-Score ModelPDF
Adeyeye, P. O, Fajembola, O. D., Olopete, M. O.159-170

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