Archived Papers for Journal
Investment Management and Financial Innovations >>
Vol.14, No.1
Publisher: Business Perspectives Publishing Company
Publishing Date: 2017-05-16
- Evaluation of empirical attributes for credit risk forecasting from numerical dataAuthors: Augustinos Dimitras; Stelios Papadakis; Alexandros Garefalakis
- Integration of enterprise risk management and management control system: based on a case studyAuthors: Ilhang Shin; Sorah Park
- A tactical asset allocation strategy that exploits variations in VIXAuthors: Richard Cloutier; Arsen Djatej; Dean Kiefer
- Big 4 auditing companies, earnings manipulation and earnings conservatism: evidence from an emerging marketAuthors: Thabang Mokoaleli-Mokoteli; George Emmanuel Iatridis
- Estimating systematic risk for the best investment decisions on manufacturing company in IndonesiaAuthors: Zarah Puspitaningtyas
- Credit risk estimate using internal explicit knowledgeAuthors: Abdallah Al-Shawabkeh; Rama Kanungo
- Wealth effects of delistings announcements in EuropeAuthors: Apostolos Dasilas; Chris Grose; Theodoros Spyridis
- Working capital management and shareholders' wealth creation: evidence from non-financial firms listed on the Johannesburg Stock ExchangeAuthors: Emmanuel Kojo Oseifuah; Agyapong Gyekye
- The effect of Dow Jones Sustainability Index on Consumer Sentiment IndexAuthors: Nikolaos Sariannidis; Grigoris Giannarakis; Xanthi Partalidou; Bakas Evangelos
- Investment evaluation in renewable projects under uncertainty, using real options analysis: the case of wind power industryAuthors: Ioannis Kinias; Ioannis Tsakalos; Nikolaos Konstantopoulos
- Calendar anomalies in the Ukrainian stock marketAuthors: Guglielmo Maria Caporale; Alex Plastun
- Trade-off theory of capital structure: evidence from estimations of non-parametric and semi-parametric panel fixed effect modelsAuthors: Wen-Chien Liu
- Definition and parameter analysis of the accumulative pension systemAuthors: Svitlana Berezina
- Islamic finance: more expectations and less disappointmentAuthors: Fayaz Ahmad Lone; Siraj Ahmad
- Does Fed policy affect blockholder behavior in U.S. publicly traded firms?Authors: Halil D. Kaya; Nancy L. Lumpkin-Sowers
- Corporate governance mechanisms and bank performance: evidence from the Greek banks during crisis periodAuthors: Andreas G. Georgantopoulos; Ioannis Filos
- The effect of longevity risks on the performance of stock marketAuthors: Hyung-Suk Choi
- Investment needs assessment of Ukrainian agricultural enterprisesAuthors: Volodymyr Ulanchuk; Olena Zharun; Sergey Sokolyuk; Svetlana Tkachuk
- Financial monitoring of the port industry companies on the basis of risk-oriented approachAuthors: Svitlana Oneshko; Svitlana Ilchenko
- What is project finance?Authors: João M. Pinto
- The development of the insurance market of Ukraine amid the global trends in insuranceAuthors: Volodymyr Kurylo; Lyudmyla Kurylo; Yaroslav Zhovnirchyk; Yevgen Kartashov; Sergii Sokol
- Does R&D investment under corporate social responsibility increase firm performance?Authors: Yu-Chun Lin
- Financial market imbalance: reasons and peculiarities of occurrence in UkraineAuthors: Rostyslav Slav'yuk; Lyudmyla Shkvarchuk; Iryna Kondrat
- Valuing synergies in strategic mergers and acquisitions using the real options approachAuthors: Anna Loukianova; Egor Nikulin; Andrey Vedernikov
- The effect of the crisis on financial performance of property sector in IndonesiaAuthors: Elok Sri Utami
- Corporate governance and capital structure in the periods of financial distress. Evidence from GreeceAuthors: George Kyriazopoulos
- The domestic resource gap and current transaction deficit in Indonesia in 2010-2014Authors: Anhulaila M. Palampanga; Bakri Hasanuddin