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| Investment management and financial innovations : intern. research j..- Sumy Investytsiinyi menedzhment ta finansovi innovatsii- Title.
- Contents.
- Kaya H. D., Lumpkin-Sowers N. L. Does Fed policy affect blockholder behavior in U.S. publicly traded firms?. - C. 153-159.
- Georgantopoulos A. G., Filos I. Corporate governance mechanisms and bank performance: evidence from the Greek banks during crisis period. - C. 160-172.
- Choi H.-S. The effect of longevity risks on the performance of stock market. - C. 173-180.
- Ulanchuk V., Zharun O., Sokolyuk S., Tkachuk S. Investment needs assessment of Ukrainian agricultural enterprises. - C. 181-190.
- Oneshko S., Ilchenko S. Financial monitoring of the port industry companies on the basis of risk-oriented approach. - C. 191-199.
- Pinto J. M. What is project finance?. - C. 200-210.
- Kurylo V., Kurylo L., Zhovnirchyk Y., Kartashov Y., Sokol S. The development of the insurance market of Ukraine amid the global trends in insurance. - C. 211-216.
- Lin Y.-C. Does R&D investment under corporate social responsibility increase firm performance?. - C. 217-226.
- Slav’yuk R., Shkvarchuk L., Kondrat I. Financial market imbalance: reasons and peculiarities of occurrence in Ukraine. - C. 227-235.
- Loukianova A., Nikulin E., Vedernikov A. Valuing synergies in strategic mergers and acquisitions using the real options approach. - C. 236-247.
- Utami E. S. The effect of the crisis on financial performance of property sector in Indonesia. - C. 248-253.
- Kyriazopoulos G. Corporate governance and capital structure in the periods of financial distress. Evidence from Greece. - C. 254-262.
- Palampanga A. M., Hasanuddin B. The domestic resource gap and current transaction deficit in Indonesia in 2010-2014. - C. 263-267.
| 2017 | Vol. 14 | Iss. 1(contin.)
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