Open Access Peer Reviewed Quarterly Est. 2016

Contemporary Journal of Banking and Finance

(CJBF)
ISSN (Print): 4142-405X | ISSN (Online): 3460-7037
2.38
Impact Factor
8
H-Index
198+
Articles
📄 Contemp. J. Bank. Finance — Volume 2, Issue 11 (2018)
Contemporary Journal of Banking and Finance  |  Volume 2, Issue 11  |  2018  |  6 Articles
Open Access Double-Blind Peer Reviewed ISSN: 3460-7037 (Online)
📋 Articles — Volume 2, Issue 11
Research Article Pages 1–20
Article 1 of 6

FinTech Adoption and Financial Inclusion: Evidence from Africa

This study investigates finTech Adoption and Financial Inclusion: Evidence from Africa. Using rigorous quantitative and qualitative methodologies, the research examines key variables and their interrelationships within the relevant theoretical framework. Findings reveal significant implications for policy, practice, and future research.…

Research Article Pages 21–42
Article 2 of 6

Dividend Policy, Agency Costs and Shareholder Value

This study investigates dividend Policy, Agency Costs and Shareholder Value. Using rigorous quantitative and qualitative methodologies, the research examines key variables and their interrelationships within the relevant theoretical framework. Findings reveal significant implications for policy, practice, and future research. The…

Research Article Pages 43–64
Article 3 of 6

Earnings Management and Audit Quality in Publicly Listed Firms

This study investigates earnings Management and Audit Quality in Publicly Listed Firms. Using rigorous quantitative and qualitative methodologies, the research examines key variables and their interrelationships within the relevant theoretical framework. Findings reveal significant implications for policy, practice, and future…

Research Article Pages 65–86
Article 4 of 6

Basel III Compliance and Bank Profitability in Developing Economies

This study investigates basel III Compliance and Bank Profitability in Developing Economies. Using rigorous quantitative and qualitative methodologies, the research examines key variables and their interrelationships within the relevant theoretical framework. Findings reveal significant implications for policy, practice, and future…

Research Article Pages 87–104
Article 5 of 6

Cryptocurrency Volatility and Portfolio Diversification

This study investigates cryptocurrency Volatility and Portfolio Diversification. Using rigorous quantitative and qualitative methodologies, the research examines key variables and their interrelationships within the relevant theoretical framework. Findings reveal significant implications for policy, practice, and future research. The study contributes…

Research Article Pages 105–121
Article 6 of 6

ESG Investing and Portfolio Risk-Adjusted Returns: Evidence from European Markets

This study investigates eSG Investing and Portfolio Risk-Adjusted Returns: Evidence from European Markets. Using rigorous quantitative and qualitative methodologies, the research examines key variables and their interrelationships within the relevant theoretical framework. Findings reveal significant implications for policy, practice, and…

← Vol. 2, No. 10 📁 All Issues Next Issue →