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  • 2012 Summer: Volume 10, Issue 1
  • On the Risk Exposure of Asia Pacific Banking Industry

    • Chu-Sheng Tai

    Sovereign Debt Markets in Euro-zone: Implications for Capital Markets Integration

    • G. N. Naidu ;
    • Askar Choudhury

    Reexamining Performance of Socially Responsible Firms

    • Tarek Zaher

    Governance and Regulatory Determinants of Financial Markets Resilience - Cross Country Evidence

    • Jamshed Y. Uppal ;
    • Inayat Ullah Mangla

    The Transmission of Shocks to LIBOR Risk Spreads and Nominal Risk-Free Rates

    • Albert E. DePrince, Jr. ;
    • Pamela D. Morris

    Native American Banks: Overview and Recent Performance

    • William Lepley ;
    • Robert A. Nagy

    Investors’ Ripple Effects in the Restructured Financial Environment

    • Cheng-Huei Chiao ;
    • Robert Kao ;
    • Chiou-Fa Lin

    Using Two Sets of Multiple Moving Averages of Price to Time Positions in a Portfolio of Exchange Traded Funds

    • Timothy Peterson

    The Volatility Transmission of Gold around the World

    • Ingyu Chiou

    How Effective Are Foreign Currency Futures Markets As Hedging Vehicles?

    • Jeong W. Lee

    The Effects of Human Capital on Attracting Foreign Direct Investment

    • Hossein Varamini ;
    • Stephen McGonigle ;
    • Dena Memari

    Equity Method of Forecasting

    • David Schalow

    Corporate Governance and Performance of Banking Sector in Pakistan

    • Ramiz Rehman ;
    • Inayat Ullah Mangla

    Volume 10, Issue 1 Reviewer List

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