Vol. 7 No. 1 (2017)
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Vol. 7 No. 1 (2017)
Articles
Burak Pirgaip, Aslıhan Taşdemir
1-14
Derivative Use of Turkish Investment Funds During the 2008-09 Financial Crisis
Abstract
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Tzu-Kuang Hsu, Chin-Chang Tsai
15-26
Explore the Impact of the Trading Value, The Oil Price and Quantitative Easing Policy on the Taiwan and Korea Stock Market Return with Quantile Regression
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Ilhaamie Abdul Ghani Azmi
27-42
Muslim Women Entrepreneurs Motivation in SMEs: A Quantitative Study in Asia Pacific Countries
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Samaneh Fallah, Seyyed Abbas Hashemi
43-51
The Effects of Inflation and Operating Cycle on Cash Holdings (Liquidity) of Listed Companies in Tehran Stock Exchange
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Rouetbi Emna, Chaabani Myriam
52-62
Dynamics of the Relationship between Implied Volatility Indices and Stock Prices Indices: The Case of European Stock Markets
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Samir MABROUK
63-80
Volatility Modelling and Parametric Value-At-Risk Forecast Accuracy: Evidence from Metal Products
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Yun-Ling Wu, Cheng-Huang Tung, Chun-Chang Lee
81-98
The Power of a Leading Indicators Fluctuation Trend for Forecasting Taiwans Real Estate Business Cycle: An Application of a Hidden Markov Model
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Yifei Cai
99-108
Nonlinear Analysis of Economic Growth, Public Debt and Policy Tools
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