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Corporate governance and capital structure in the periods of financial distress. Evidence from Greece JOURNAL ARTICLE published 12 May 2017 in Investment Management and Financial Innovations |
Liquidity spillover from carbon emission trading markets to stock markets in China JOURNAL ARTICLE published 16 November 2023 in Investment Management and Financial Innovations |
Spillovers across global stock markets before and after the declaration of Russia’s invasion of Ukraine JOURNAL ARTICLE published 19 April 2024 in Investment Management and Financial Innovations |
Uncovering the greenium: Investigating the yield spread between green and conventional bonds JOURNAL ARTICLE published 9 April 2024 in Investment Management and Financial Innovations |
The relationship between corporate social responsibility and earnings management: accounting for endogeneity JOURNAL ARTICLE published 23 October 2018 in Investment Management and Financial Innovations |
The determinants of corporate cash holdings levels: evidence from selected South African retail firms JOURNAL ARTICLE published 2 June 2017 in Investment Management and Financial Innovations |
Determinants of behavior of inflation rate in Nigeria JOURNAL ARTICLE published 15 April 2019 in Investment Management and Financial Innovations |
Using textual analysis in bankruptcy prediction: Evidence from Indian firms under IBC JOURNAL ARTICLE published 5 July 2023 in Investment Management and Financial Innovations |
Financial distress and stock price crash risk in Egyptian firms JOURNAL ARTICLE published 19 September 2023 in Investment Management and Financial Innovations |
Intellectual capital and market value: evidence from Jordan JOURNAL ARTICLE published 12 November 2019 in Investment Management and Financial Innovations Research funded by Amman Arab University, Jordan (–) |
Impact of COVID-19 on financial integration: Study on BRICS JOURNAL ARTICLE published 2 May 2022 in Investment Management and Financial Innovations |
Examining the impact of product involvement, subjective norm and perceived behavioral control on investment intentions of individual investors in Pakistan JOURNAL ARTICLE published 25 December 2017 in Investment Management and Financial Innovations |
The effect of age and gender on financial risk tolerance of South African investors JOURNAL ARTICLE published 11 May 2018 in Investment Management and Financial Innovations |
Transparency and information asymmetry in the financial market: Strategic dependencies between sustainability disclosure, SDG achievement and financial and information efficiency JOURNAL ARTICLE published 25 October 2023 in Investment Management and Financial Innovations |
Challenges to the growth of African immigrant-owned businesses in selected craft markets in Cape Town, South Africa JOURNAL ARTICLE published 10 October 2016 in Investment Management and Financial Innovations |
Valuation discrepancies in money market funds during market disruptions: evidence from Egypt JOURNAL ARTICLE published 8 September 2020 in Investment Management and Financial Innovations |
The modeling of equilibrium of the reinsurance markets in Germany, France and Ukraine: comparative characteristics JOURNAL ARTICLE published 24 June 2011 in Investment Management and Financial Innovations |
Dynamic Stochastic General Equilibrium model for the Islamic economy JOURNAL ARTICLE published 2 October 2018 in Investment Management and Financial Innovations |
The effectiveness of technical trading strategies: Evidence from Indian equity markets JOURNAL ARTICLE published 4 April 2023 in Investment Management and Financial Innovations |
Modelling volatility effects between stock, oil, gold and forex markets: Evidence from India JOURNAL ARTICLE published 14 April 2023 in Investment Management and Financial Innovations |