Skip to main content
Skip to main navigation menu
Skip to site footer
Open Menu
About
Current
Archives
Editorial Team
Policies
Publication Ethics
AI Policies
Peer Review Policy
Plagiarism Policy
Open Access Policy
Instructions for Authors
Index/List/Archive
Search
Publication Ethics
Peer Review Policy
Our Journals
Register
Login
Home
/
Archives
/
Vol. 9 No. 1 (2022)
Vol. 9 No. 1 (2022)
Published:
2022-01-03
Articles
The Risk-Taking Behaviour of Tunisian Banks in the Post-Revolution Era: A Panel ARDL-PMG Approach
Zied SAADAOUI, Salma MOKDADI
1-12
PDF
VIDEO
HTML
Forecasting the Oil Volatility Index Using Factors of Uncertainty
Panagiotis Delis, Stavros Degiannakis, Konstantinos Giannopoulos
13-20
PDF
VIDEO
HTML
A Simple Macro-Fiscal Model for Policy Analysis: An Application to Cambodia
Daniel Baksa, Ales Bulir, Dyna Heng
21-37
PDF
VIDEO
HTML
Shocks to Monetary Policy Instruments: Does Credit to the Private Sector Respond in a Similar Manner to Public Sector Credit in Nigeria? A Vector Autoregressive Approach
Nzeh Innocent Chile, Benedict I Uzoechina, Millicent Adanne Eze, Ozoh Joan Nwamaka, Okoli Uju Victoria
38-51
PDF
VIDEO
The Potential of Re-exports: A Probability for Fiji’s Trade Growth
Amit Prakash, Priteshni Chand
52-58
PDF
VIDEO
The Significance of Foreign Direct Investment Registered Projects and Employment Creation in the Sectors of Ghana’s Economy
Evans Yeboah, Dacosta Boateng Agyei, Ran Li, Anita Sossoe, Mavis Tetteh, Aisha Amankwa
59-66
PDF
Make a Submission
Make a Submission
Most Read
Futures Trading: Informational Content of Open Interest and Trading Volume on Futures Price
29
The Japanese Asset Price Bubble: Evolvement and Consequences
24
Instability in Rice Production in Gujarat: A Decomposition Analysis
19
Fama-French Three Factors Model in Indian Mutual Fund Market
16
The impact of capital flight on economic development: An empirical analysis from Palestine
16