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The effect of related party transactions on R&D investment: Evidence from Korea

JOURNAL ARTICLE published 4 November 2022 in Investment Management and Financial Innovations

Authors: Ilhang Shin | Hansol Lee

The relation between product market competition and corporate tax avoidance: evidence from Korea

JOURNAL ARTICLE published 24 June 2019 in Investment Management and Financial Innovations

Authors: Ilhang Shin | Sorah Park

An empirical analysis of financial leverage and financial performance: Empirical evidence from Indian listed firms

JOURNAL ARTICLE published 24 June 2021 in Investment Management and Financial Innovations

Authors: Nabil Ahmed Mareai Senan | Anwar Ahmad | Suhaib Anagreh | Mosab I. Tabash | Eissa A. Al-Homaidi

The peculiarities of the financial market development in Ukraine

JOURNAL ARTICLE published 5 May 2008 in Investment Management and Financial Innovations

Authors: Inna Shkolnyk | Ukrainian Academy of Banking, Ukraine | Olha Kozmenko | Ukrainian Academy of Banking, Ukraine

A comparison of two models to measure business success in microinsurance

JOURNAL ARTICLE published 11 October 2017 in Investment Management and Financial Innovations

Authors: Zaheenah B. Chummun | Christo Bisschoff

Application of multi-criteria decision analysis for investment strategies in the Indian equity market

JOURNAL ARTICLE published 4 August 2021 in Investment Management and Financial Innovations

Authors: Sudipa Majumdar | Rashita Puthiya | Nandan Bendarkar

Quasi-hedge funds market in Poland in view of their performance persistence

JOURNAL ARTICLE published 6 August 2021 in Investment Management and Financial Innovations

Authors: Waldemar Aspadarec

Innovations in the insurance market of a developing country: Case of Ukraine

JOURNAL ARTICLE published 2 December 2020 in Investment Management and Financial Innovations

Authors: Svitlana Yehorycheva | Iryna Fysun | Tetiana Hudz | Oksana Palchuk | Natalia Boiko

Analyzing the effect of financial development on economic growth – the Jordanian experience

JOURNAL ARTICLE published 14 February 2019 in Investment Management and Financial Innovations

Authors: Izz Eddien N. Ananzeh | Mohammad D. Othman

The January barometer in emerging markets: new evidence from the Gulf Cooperation Council stock exchanges

JOURNAL ARTICLE published 26 November 2019 in Investment Management and Financial Innovations

Authors: Costas Siriopoulos | Layal Youssef

Shareholders wealth and mergers and acquisitions (M&As)

JOURNAL ARTICLE published 4 October 2017 in Investment Management and Financial Innovations

Authors: Justice Kyei-Mensah | Chen Su | Nathan Lael Joseph

Ethical Dow Jones indexes and investment performance: international evidence

JOURNAL ARTICLE published 4 July 2016 in Investment Management and Financial Innovations

Authors: Mohamed Sherif

Indicators DZ and RDZ: essence, methods of calculation, signals and rules of trading

JOURNAL ARTICLE published 15 November 2011 in Investment Management and Financial Innovations

Authors: Serhiy Kozmenko | Ukrainian Academy of Banking, Ukraine | Oleksiy Plastun | Ukrainian Academy of Banking, Ukraine

Firm-specific investor sentiment and stock price crash risk: The role of foreign investors in Korea’s stock market

JOURNAL ARTICLE published 27 December 2022 in Investment Management and Financial Innovations

Authors: Heejeong Shin | Su-Young Choi

Do family-controlled and financially healthy firms manage their reported earnings? Evidence from Indonesia

JOURNAL ARTICLE published 25 November 2022 in Investment Management and Financial Innovations

Authors: Agus Joko Pramono | Zulhawati Zulhawati | Rusmin Rusmin | Emita Wahyu Astami

Moroccan Stock Exchange market topology in crisis and non-crisis periods

JOURNAL ARTICLE published 8 December 2022 in Investment Management and Financial Innovations

Authors: Cherif El Msiyah | Jaouad Madkour | Younes Berouaga | Ayoub Kyoud | Ali Ait Lahcen

Testing volatility spillovers using GARCH models in the Japanese stock market during COVID-19

JOURNAL ARTICLE published 22 March 2022 in Investment Management and Financial Innovations

Authors: Cristi Spulbar | Ramona Birau | Jatin Trivedi | Iqbal Thonse Hawaldar | Elena Loredana Minea

A new conceptualization of investor sophistication and its impact on herding and overconfidence bias

JOURNAL ARTICLE published 20 April 2022 in Investment Management and Financial Innovations

Authors: Ashutosh Yadav | Deepshikha Yadav | Ishan Kashyap Hazarika

The relationship between the short-term and long-term Phillips curve for the Czech Republic

JOURNAL ARTICLE published 23 June 2022 in Investment Management and Financial Innovations

Authors: Lu Wang | Marek Vochozka | Pavel Rousek

An empirical investigation of the Fama-French five-factor model

JOURNAL ARTICLE published 10 March 2020 in Investment Management and Financial Innovations

Authors: Oleksandr Paliienko | Svitlana Naumenkova | Svitlana Mishchenko