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| Investment management and financial innovations : intern. research j..- Sumy Investytsiinyi menedzhment ta finansovi innovatsii- Title.
- Contents.
- Sun J., Liu G. Analysts’ decision on initiating or discontinuing coverage and future firm performance. - C. 8-21.
- Barber J. R. Risk and performance attribution. - C. 22-28.
- Hsiao H.-F., Lin S.-H., Hsu A.-C. Earnings management, corporate governance, and auditor’s opinions: a financial distress prediction model. - C. 29-40.
- Vanroose A. Differences in the development of the Latin American microfinance market: identifying reasons. - C. 41-53.
- Gorman L. R., Sapra S. G., Gorman R. A. The role of cross-sectional dispersion in active portfolio management. - C. 54-64.
- Hsieh T.-Y., Lee H.-I., Lin C.-F. Impact of tick-size reduction on the volatility components: the case of the Taiwanese stock exchange. - C. 65-72.
- Chatterjee S., Green-Pimentel L., Turner P. Financial education and consumers’ willingness to change behavior. - C. 73-81.
- Spilioti S. N. The incorporation of risk into the clean-surplus valuation model: evidence from UK stocks. - C. 82-90.
- Murphy A. An analysis of SAM pricing in the UK. - C. 91-104.
- Deng C., Bai B., Zeng L., Holscher J. Research on the IPO underpricing of the Hong Kong growth enterprise market. - C. 105-114.
- Charitou M. Does industrial financial analysis affect stock returns? International empirical evidence. - C. 115-124.
| 2010 | Vol. 7 | Iss. 3
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