Vol. 4, No. 1, June 2012
Table of Contents
| Impact of Corporate Governance on Social and Environmental Information Disclosure of Malaysian Listed Banks: Panel Data Analysis | |
| Sheila Nu Nu Htay, Hafiz Majdi Ab. Rashid, Mohamad Akhyar Adnan, Ahamed Kameel Mydin Meera | 1-24 |
| Customer Service Impacts on Bank Policy in Bangkok, Thailand | |
| Paul James | 25-45 |
| The Relationship between Income Smoothing and Income Tax and Profitability Ratios in Iran Stock Market | |
| Parviz Saeidi | 46-51 |
| The Global Financial Crisis Impact on Ethnic Diversity of Sri Lanka Boards | |
| Nirosha Hewa Wellalage, Stuart Locke, Frank Scrimgeour | 52-68 |
| Triple Bottom Line Reporting in Annual Reports: A Case Study of Companies Listed on the Stock Exchange of Thailand (SET) | |
| Muttanachai Suttipun | 69-92 |
| A Study on Industry Superannuation in Australia: Risk Disclosure and pre-Global Financial Crisis | |
| Diane Kraal, Associate Professor Prem Yapa | 93-117 |
| Impact of Customer Relationship Management of Hotel (A Case study Umaid Bhwan) | |
| Tauseef Ahmad, Omar Abdalla Jawabreh, Mahmoud (abdel muhsen)Irsheid Al Afeef, Alaa Almomani | 118-131 |
| Accounting Researchers in Asia Pacific: A Study on Publication Productivity and Citation Analysis | |
| Lee Teck Heang, Ching Seng Yap, Yet Mee Lim, Cai Lian Tam | 132-150 |
| Do Malaysian spin-offs create value? | |
| Nadisah Zakaria, Glen Christopher Arnold | 151-172 |
| The Impact of Accounting Information System in Planning, Controlling and Decision-Making Processes in Jodhpur Hotels | |
| Omar Abdalla Jawabreh, Ali M Alrabei | 173-188 |
| Exploring the Herding Behaviour in Indian Mutual Fund Industry | |
| Archana Patro, A. Kanagaraj | 189-204 |
| Still on China's exchange regime: the Euro and its role as an international anchor currency | |
| Marco Mele, Paola Allegra Baistrocchi | 205-215 |
| The Impact of Regulatory and Supervisory Structures on Bank Risk and Efficiency: Evidence from Dual Banking System | |
| Nafis Alam | 216-244 |
| Board Characteristics and Financial Reporting Quality among Jordanian Listed Companies: Proposing Conceptual Framework | |
| Ebraheem Saleem Salem Alzoubi | 245-258 |
| Prior Return Patterns in Sector Returns: Evidence for Emerging Markets | |
| Sanjay Sehgal, Sakshi Jain | 259-277 |
| Capital Structure and Firm Performance in the Financial Sector: Evidence from Australia | |
| Vedran Skopljak, Robin Luo | 278-298 |
| Stock Market Reaction to Good and Bad Political News | |
| Muhammad Tahir Suleman | 299-312 |
| The Role of Macroeconomic Factors in Explaining the Cost of Capital: Evidence from a Group of Emerging Economies | |
| Nicholas Apergis, Sofia Eleftheriou | 313-329 |
| Evaluating Company Failure in Malaysia Using Financial Ratios and Logistic Regression | |
| Ben Chin Fook Yap, Shanmugam Munuswamy, Zulkifflee Mohamed | 330-344 |
| Macro Effect of Global Financial Crisis on Nigerian Economy | |
| Oke Micheal Ojo, Ajayi Lawrence Boboye | 345-358 |
| Do Agency Costs Really Matter? A Non-linear Approach of Panel Data | |
| Fitriya Fauzi, Stuart Locke | 359-376 |
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