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| Investment management and financial innovations : intern. research j..- Sumy Investytsiinyi menedzhment ta finansovi innovatsii- Title.
- Contents.
- Al-Hajri M., Al-Enezi F. The association between Corporate Social Responsibility Disclosure and accounting-based financial performance: a Kuwaiti evidence. - C. 1-13.
- Mousa G. A., Desoky A. The effect of dividend payments and firm’s attributes on earnings quality: empirical evidence from Egypt. - C. 14-29.
- Akinde M. A., Peter E., Ikpefan O. A. Growth versus value investing: a case of Nigerian Stock Market. - C. 30-45.
- Bouresli A., Abdulsalam F. A. New market reforms and stock exchange liquidity: the case of Kuwait. - C. 46-64.
- Sareewiwatthana P., Wanidwaranan P. Alternative analyses of market value added: a case study of Thailand. - C. 65-78.
- Al-Smadi M. O. Corporate governance and risk taking of Jordanian listed corporations: the impact of board of directors. - C. 79-88.
- Shin H. The effects of industry characteristics on stock price synchronicity around IFRS adoption. - C. 89-99.
- Cahyono S. B., Chawla A. S. The determinants of firm financing structures across sectors: an evidence from Indonesian listed companies. - C. 100-118.
- Ananzeh I. E. N., Othman M. D. Analyzing the effect of financial development on economic growth – the Jordanian experience. - C. 119-127.
- Alqahtani A. S. S., Ouyang H., Saleh Sh. The impact of United States monetary policy uncertainty on the Gulf Cooperation Council stock markets. - C. 128-143.
- Putera A., Balaka M. Y. Treatment strategies for bad loans to microfinancial institutions: evidence from Kendari, Indonesia. - C. 144-153.
- Owusu J., Ismail M. B., Osman M. H. B. M., Kuan G. Financial literacy as a moderator linking financial resource availability and SME growth in Ghana. - C. 154-166.
- Salman A. Determinants of dividend policy. - C. 167-177.
- Ferrari P., Poy G., Abate G. Dispersion trading: an empirical analysis on the S&P 100 options. - C. 178-188.
- Grytten O. H. Public finances, governance control and economic growth: a macroeconomic history approach. - C. 189-202.
- Kang M., Yoo Y.-T. Investor perception of fair value evaluation: focusing on financial instruments. - C. 203-214.
- Oseifuah E. K., Korkpoe C. H. A Markov regime switching approach to estimating the volatility of Johannesburg Stock Exchange (JSE) returns. - C. 215-225.
- Singagerda F. S., Septarina L., Sanusi A. The volatility model of the ASEAN Stock Indexes. - C. 226-238.
- Evans C., van Vuuren G. Investment strategy performance under tracking error constraints. - C. 239-257.
- Moussa A. A., Elgiziry Kh. The impact of family involvement in business on capital structure decisions: a literature review. - C. 258-266.
- Al-Othman L. N. The reaction of the financial market on the auditor report: an empirical study on service companies listed in Amman Stock Exchange (ASE). - C. 267-275.
- Vu L. T., Vu L. T., Nguyen N. T., Do Ph. Th. Th., Dao D. Ph. Feature selection methods and sampling techniques to financial distress prediction for Vietnamese listed companies. - C. 276-290.
- Ghosh B., Krishna M. C. Power law in tails of bourse volatility – evidence from India. - C. 291-298.
- El Haloui M., Aboulaich R. Leveraged buyout booms and busts: can Islamic finance help prevent and mitigate such market distortions?. - C. 299-318.
- Pavlov R., Pavlova T., Lemberg A., Levkovich O., Kurinna I. Influence of non-monetary information signals of the USA on the Ukrainian stock market volatility. - C. 319-333.
- Caporale G. M., Plastun A., Makarenko I. Force majeure events and stock market reactions in Ukraine. - C. 334-345.
- Ramasamy R. R., Pachiyappan S. Holding period for positive return from Indian mutual funds. - C. 346-364.
- Voznyak H., Kloba T., Kloba S., Kloba L. Model of assessment of financial imbalances in regions of Ukraine. - C. 365-377.
| 2019 | Vol. 16 | Iss. 1
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