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| Investment management and financial innovations : intern. research j..- Sumy Investytsiinyi menedzhment ta finansovi innovatsii- Title.
- Contents.
- Ciccone S. J., Etebari A. A month-by-month examination of long-term stock returns. - C. 8-18.
- Giacometti R., Rachev S. T. Funds of hedge funds: a comparison among different portfolio optimization models implementing the zero-investment strategy. - C. 19-29.
- Yavas B. F., Rezayat F. Integration among global equity markets: portfolio diversification using exchange-traded funds. - C. 30-43.
- Amt G., Lindstadt H., Wolff M. Standardized strategy assessment as a contribution to banks' corporate ratings. - C. 44-50.
- Dempsey M. The significance of beta for stock returns in Australian markets. - C. 51-61.
- Barnes E. Ownership, regulation, information and the capital acquisition process. - C. 62-72.
- Wang C.-C., Yang J. J. W. The information spillover between stock index and derivative products trading behaviour in Taiwan. - C. 73-80.
- Al-Obaidan A. M. Efficiency effect of direct lending controls: an empirical study of the gulf cooperation council countries. - C. 81-89.
- Fenech J. P. The stock market reaction to Australian convertible debt issues: new evidence. - C. 90-100.
- Clark E., Masood O., Tunaru R. The effect of political events on the Pakistan stock exchange 1947-2001. - C. 101-110.
- Khoshnevisan M., Nahavandi S., Bhattacharya S., Bakhtiary M. FMRI studies in neuro-fuzzy and behavioural finance: a case based approach. - C. 111-121.
- Hotson L., Singh H., Singh N. The Information Content of Directors' Trades: Empirical analysis of the Australian Market. - C. 122-133.
- Zortuk M. New Assessment on the Fisher Hypothesis: the case of Turkey. - C. 134-138.
| 2008 | Vol. 5 | Iss. 3
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