Asian Journal of Economics and Banking: Volume 8 Issue 2 , Open Access

Subjects:

Table of contents

A model of regional housing markets in England and Wales

Arnab Bhattacharjee, Chris Jensen-Butler

We propose an economic model of housing markets. The model incorporates the macroeconomic relationships between prices, demand and supply. Since vacancy rates are not observable…

How to select a model if we know probabilities with interval uncertainty?

Vladik Kreinovich

When the probability of each model is known, a natural idea is to select the most probable model. However, in many practical situations, the exact values of these probabilities…

CEO power and stock price crash risk in India: the moderating effect of insider trades

Ankita Kalia

This study aims to explore the relationship between chief executive officer (CEO) power and stock price crash risk in India. Furthermore, it seeks to analyse how insider trades…

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Confidence intervals for functions of signal-to-noise ratio with application to economics and finance

Warisa Thangjai, Sa-Aat Niwitpong

Confidence intervals play a crucial role in economics and finance, providing a credible range of values for an unknown parameter along with a corresponding level of certainty…

Global financial connectivity and ineffectiveness of sovereign debt: implications for business activities in South Asia

Muhammad Ayub Mehar

The study examines the impacts of debt financing on infrastructure development, investment, creation of new business entities, subsidies to private sector and GDP growth.

Investigating “organizational maturity” in order to provide “blockchain banking service” based on “FinTech” (through “the CMMI” in “Parsian Bank”)

Komeil Ali Taghavi, Mohammadreza Mashayekh

The description of “blockchain banking”, the determination of “the sub-processes” of “blockchain banking” as a “business process”, and the assessment of “maturity level” in…

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Bank capital, earnings smoothing and provisioning practices in Nigeria: IFRS and risk evidence

Abdulai Agbaje Salami, Ahmad Bukola Uthman

This study empirically tests the use of loan loss provisions (LLPs) for earnings and capital smoothing when emphasis is laid on banks' riskiness and adoption of the International…

Money supply, inflation and output: an empirically comparative analysis for Vietnam and China

Pham Dinh Long, Bui Quang Hien, Pham Thi Bich Ngoc

This study focuses on analyzing the relation between money supply, inflation and output in Vietnam and China.

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