Journal of Money, Investment and Banking

Issue 26
December 2012

Country Governance Structure and Financial Development as Determinants of Firms’ Capital Structure
Guilherme Kirch, Cesario Mateus and Paulo Terra
6-24

Optimal Asset Allocation in Enterprise Annuity Account Management
Chen, Chin-Ming and Hung, Chin-Hsing
25-32

Country Risk: ECAIs Rating and Measurement Framework
Pasqualina Porretta, Gianfranco A. Vento and Fabrizio Santoboni
33-61

Knowledge Management in the Banking Sector the Case of Virtual Bank
Pina Puntillo
62-73

An Evaluation of Customer Perceptions on CRM within the UK Retail Banking
Hussein A. Abdou, Enimini I. Idiongette and James Mulkeen
74-86

The Inflation-Growth Nexus: Estimating the Threshold Effect for South Africa
Michael Adusei
87-93

Short-Sale or not in Such a Short-Term Period?
Kuan-Ting Wang and Chau-Jung Kuo
94-100

Nonlinear Arbitrage in Taiwan Index Futures A Threshold Cointegration Analysis
Shu-Feng Yang and Tsui-Huang Wu
101-110

Overconfidence Hypothesis: An Empirical Study in ISE
Özge Bolaman and Ayse Tülay Yücel
111-123

Empirical Analysis of the Association between Capital Structure and Performance of Rural Banks in Ghana
Korankye Thomas, Kofi Agyarko Ababio and Abubakari Zakari
124-130

Are Financial Flows and Human Capital Working for Economic Growth in the Sub-Sahara African Countries? Empirical Evidence
Tchouassi Gérard
131-144

Simulation Analysis of Value at Risk for Portfolio Management in the Case of Thailand
Jirath Santimahakullert and Jun Jiang
145-153

The Determination of the Long-Term Real Exchange Rate by Fractional Integration Analysis for Turkish Economy
Bora Süslü
154-161

Accounting and Capital Market Measures of Risk: Evidence from Central and Eastern European Banks
Gülin Vardar
162-171

Development of Human Capital and their Causality with Economic Growth in Case of China
Md. Mostafizur Rahman
172-182

CAPM-Based Pre-Global Financial Meltdown Empirical Analysis of the Main Sectors in Turkey
Bora Aktan
183-194