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Archived Papers for Journal

Investment Management and Financial Innovations >>

Vol.14, No.3

Publisher: Business Perspectives Publishing Company

Publishing Date: 2017-12-05

  1. Inventory management, cost of capital and firm performance: evidence from manufacturing firms in Jordan

    Authors: Ashraf Mohammad Salem Alrjoub; Muhannad Akram Ahmad

  2. Shareholders wealth and mergers and acquisitions (M&As)

    Authors: Justice Kyei-Mensah; Chen Su; Nathan Lael Joseph

  3. Financial sustainability of private higher education institutions: the case of publicly traded educational institutions

    Authors: Sami Al Kharusi; Sree Rama Murthy Y.

  4. Financial & investment strategies to captivate S&P 500 volatility premium

    Authors: Alexandros Garefalakis; George Alexopoulos; Michael Tsatsaronis; Christos Lemonakis

  5. A new method of measuring stock market manipulation through structural equation modeling (SEM)

    Authors: Maruf Rahman Maxim; Abu Sadat Muhammad Ashif

  6. Profitability of commercial banks revisited: new evidence from oil and non-oil exporting countries in the MENA region

    Authors: Nermeen Abdullah; Yong Tan

  7. Orientation to finance (ORTOFIN) and its relationship with residential status

    Authors: Shaha Faisal

  8. The impact of microfinance on microenterprises

    Authors: Sanya Olugbenga; Polly Mashigo

  9. Company’s financial state forecasting: methods and approaches

    Authors: Shynara Jumadilova; Nurlan Sailaubekov; Dana Kunanbayeva

  10. Detecting false financial statements: evidence from Greece in the period of economic crisis

    Authors: Michail Pazarskis; George Drogalas; Kyriaki Baltzi

  11. A comparison of two models to measure business success in microinsurance

    Authors: Zaheenah B. Chummun; Christo Bisschoff

  12. The evaluation of derivatives of double barrier options of the Bessel processes by methods of spectral analysis

    Authors: Ivan Burtnyak; Anna Malytska

  13. Government subsidy, strategic profitability and its impact on financial performance: empirical evidence from Indonesia

    Authors: Aminullah Assagaf; Yusliza Mohd Yusoff; Rohail Hassan

  14. Inefficiency of pension investment regulation: case of Russia

    Authors: Alexander Nepp

  15. Semi-monthly effect in stock returns: new evidence from Bombay Stock Exchange

    Authors: Shakila B.; Prakash Pinto; Iqbal Thonse Hawaldar

  16. The adjustment speeds of short-run real estate investment trust (REIT) and corresponding stock returns in the USA and Australia

    Authors: Hao Fang; Yen-Hsien Lee; Jen-Sin Lee; Wei-Jui Chen

  17. Investment capacity of the economy during the implementation of projects of public-private partnership

    Authors: Oksana N. Berduygina; Andrey I. Vlasov; Evgeny A. Kuzmin

  18. The prestige of stock exchanges and corporate cash holding in transition economies: a study on Vietnamese listed firms

    Authors: Do Thi Thanh Nhan; Ngo Minh Vu; Pham Ha; Drahomíra Pavelková

  19. Market reaction and fundamental signal in Indonesia

    Authors: Winston Pontoh

  20. Tests of quantitative investing strategies of famous investors: case of Thailand

    Authors: Paiboon Sareewiwatthana; Patarapon Janin

  21. The impact of the deferred tax adjustment on the Economic Value Added (EVA) measure

    Authors: Melissa Naicker

  22. The effects of the International Financial Reporting Standards (IFRS) adoption on earnings quality: evidence from Korea

    Authors: Jee Hoon Yuk; Wook Bin Leem

  23. Investment attractiveness of the port industry in crisis conditions

    Authors: Svitlana Ilchenko; Ganna Glushko

  24. Foreign ownership and firm-level stock return volatility in Taiwan

    Authors: Yi-Chein Chiang; Ming-Han Chan

  25. The role of high-yield bonds in strategic asset allocation over the Great Recession

    Authors: Georgios Menounos; Constantinos Alexiou; Sofoklis Vogiazas

  26. Evaluating the performance of the Motley Fool’s Stock Advisor™

    Authors: Greg Filbeck; Alexander Lyon; Xin Zhao

  27. How financial liberalization impacts stock market volatility in Africa: evidence from Nigeria

    Authors: Patrick Olufemi Adeyeye; Olufemi Adewale Aluko; Oladapo Fapetu; Stephen Oseko Migiro

  28. Methods of assessment of efficiency of creating regional innovative clusters for dynamic development of economics

    Authors: Raisa Kozhukhіvska; Nataliya Parubok; Nataliya Petrenko; Svitlana Podzihun; Irina Udovenko

  29. The mediating role of growth opportunity in good corporate governance-stock return relationship

    Authors: Rakha Wardhana; Bambang Tjahjadi; Yani Permatasari

  30. Simulative model for evaluation of investment processes in the regions of Ukraine

    Authors: Ivan Blahun; Lesia Dmytryshyn; Halyna Leshuk

  31. Analysis of Ukrainian life insurance market and its tendencies

    Authors: Diana Tretiak

  32. Exchange rate intervention and trade openness on the global economy with reference to Brazil, Russia, India, China and South Africa (BRICS) countries

    Authors: Desti Kannaiah; T. Narayana Murty

  33. Economic security in investment projects management: convergence of accounting mechanisms

    Authors: Nataliia Ostapiuk; Oleksandra Karmaza; Mykola Kurylo; Gennady Timchenko

  34. Do coherent risk measures identify assets risk profiles similarly? Evidence from international futures markets

    Authors: Sharif Mozumder; M. Humayun Kabir; Michael Dempsey

  35. Does Employee Stock Ownership Plan matter? An empirical note

    Authors: Fitri Ismiyanti; Putu Anom Mahadwartha

  36. Why do financial services companies pay dividend? Evidence from Qatar Stock Exchange

    Authors: Sumathi Kumaraswamy; Bora Aktan; Zainab Hafedh Al Halwachi

  37. Investor compensation fund: an optimal size for countries with developed stock markets and Ukraine

    Authors: Inna Shkolnyk; Eugenia Bondarenko; Myroslav Ostapenko