Ausgabe 1/2024
Inhalt (8 Artikel)
A Dynamic Analysis of the Twin-Deficit Hypothesis: the Case of a Developing Country
Ibrar Hussain, Umar Hayat, Md Shabbir Alam, Uzma Khan
Open Access
Original Research
Does Market Performance (Tobin’s Q) Have A Negative Effect On Credit Ratings? Evidence From South Korea
Hyoung-Joo Lim, Dafydd Mali
Original Research
Entropy Augmented Asset Pricing Model: Study on Indian Stock Market
Harshit Mishra, Parama Barai
Original Research
The Relationship Between Financial Knowledge, Investment Strategy and Satisfaction From Pension Schemes: Evidence From India
Shallu Saini, Tejinder Sharma, Satyanarayana Parayitam
Open Access
Original Research
Covid-19 Data Manipulation and Reaction of Stock Markets
Monika Bolek, Cezary Bolek
Original Research
Economic Policy Uncertainty and Emerging Stock Market Volatility
Maria Ghani, Usman Ghani
Original Research
Exchange Rate and Stock Prices Volatility Connectedness and Spillover during Pandemic Induced-Crises: Evidence from BRICS Countries
Muntazir Hussain, Usman Bashir, Ramiz Ur Rehman