5 October 2010

Special issue: Middle East capital markets and investment issues

International Journal of Monetary Economics and Finance 3(4) 2010
  • Bank supervision and bank profitability: the case of MENA countries
  • GCC stock markets: How risky are they?
  • How markets react to earnings announcements in the absence of analysts and institutions: evidence from the Saudi market
  • Does the entry of foreign investors influence the volatility of Doha Securities Market?
  • The indexing paradox: be thankful for irrational analysts

No comments: