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Gilbert Nartea
Gilbert Nartea
Associate Professor of Finance, University of Canterbury
在 canterbury.ac.nz 的电子邮件经过验证 - 首页
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引用次数
引用次数
年份
Measuring the economic inefficiency of Nepalese rice farms using data envelopment analysis
BR Dhungana, PL Nuthall, GV Nartea
Australian Journal of Agricultural and Resource Economics 48 (2), 347-369, 2004
4432004
Why should PLS-SEM be used rather than regression? Evidence from the capital structure perspective
NA Ramli, H Latan, GV Nartea
Partial least squares structural equation modeling: Recent advances in …, 2018
1952018
Predictive ability and profitability of simple technical trading rules: Recent evidence from Southeast Asian stock markets
H Yu, GV Nartea, C Gan, LJ Yao
International Review of Economics & Finance 25, 356-371, 2013
1632013
Do extreme returns matter in emerging markets? Evidence from the Chinese stock market
GV Nartea, D Kong, J Wu
Journal of Banking & Finance 76, 189-197, 2017
1492017
Determinants of microcredit loans repayment problem among microfinance borrowers in Malaysia
SH Mokhtar, G Nartea, C Gan
International Journal of Business and Social Research (IJBSR) 2 (7), 33-45, 2012
1392012
Formal and informal rural credit in the Mekong River Delta of Vietnam: Interaction and accessibility
PD Khoi, C Gan, GV Nartea, DA Cohen
Journal of Asian Economics 26, 1-13, 2013
1372013
Idiosyncratic volatility and cross‐sectional stock returns in Southeast Asian stock markets
GV Nartea, BD Ward, LJ Yao
Accounting & Finance 51 (4), 1031-1054, 2011
892011
Size, BM, and momentum effects and the robustness of the Fama‐French three‐factor model: Evidence from New Zealand
GV Nartea, BD Ward, HG Djajadikerta
International Journal of Managerial Finance 5 (2), 179-200, 2009
752009
Does idiosyncratic volatility matter in emerging markets? Evidence from China
GV Nartea, J Wu, Z Liu
Journal of International Financial Markets, Institutions and Money 27, 137-160, 2013
672013
Sources of risk and risk management strategies: the case of smallholder farmers in a developing economy
S Aditto, C Gan, GV Nartea
Risk Management-Current Issues and Challenges, 449-475, 2012
602012
Momentum returns and information uncertainty: Evidence from China
MA Cheema, GV Nartea
Pacific-Basin Finance Journal 30, 173-188, 2014
532014
Extreme returns in emerging stock markets: evidence of a MAX effect in South Korea
GV Nartea, J Wu, HT Liu
Applied financial economics 24 (6), 425-435, 2014
522014
Momentum returns, market states, and market dynamics: Is China different?
MA Cheema, GV Nartea
International Review of Economics & Finance 50, 85-97, 2017
502017
The Malaysian microfinance system and a comparison with the Grameen Bank (Bangladesh) and Bank Perkreditan Rakyat (BPR-Indonesia)
SH Mokhtar, G Nartea, C Gan
Journal of Arts and Humanities 1 (3), 60-71, 2012
452012
The impact of microcredit on rural households in the Mekong River Delta of Vietnam
DK Phan, C Gan, GV Nartea, DA Cohen
Journal of the Asia Pacific Economy 19 (4), 558-578, 2014
342014
Investor sentiment and the economic policy uncertainty premium
GV Nartea, H Bai, J Wu
Pacific-Basin finance journal 64, 101438, 2020
312020
Is there a volatility effect in the Hong Kong stock market?
GV Nartea, J Wu
Pacific-Basin Finance Journal 25, 119-135, 2013
282013
The size and book-to-market effects and the Fama-French three-factor model in small markets: preliminary findings from New Zealand
H Djajadikerta, GV Nartea
School fo Acc., Finance and Economics, 2005
252005
Risk efficiency and cost effects of geographic diversification
GV Nartea, PJ Barry
Applied Economic Perspectives and Policy 16 (3), 341-351, 1994
251994
Mediation effects of firm leverage in Malaysia: Partial least squares-structural equation modeling
NA Ramli, G Nartea
International Journal of Economics and Financial Issues 6 (1), 301-307, 2016
242016
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