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Does capital structure moderate the impact of the investment opportunity set and institutional ownership on firm value? JOURNAL ARTICLE published 21 April 2023 in Investment Management and Financial Innovations |
Relationship between financial risks and firm value: A moderating role of capital adequacy JOURNAL ARTICLE published 23 March 2023 in Investment Management and Financial Innovations |
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 |
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 |
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 |
Do stock investors need to discuss to reduce decision bias? JOURNAL ARTICLE published 11 July 2019 in Investment Management and Financial Innovations Research funded by University of Surabaya (–) |
The effect of risk leverage on investors’ preferences in manufacturing companies listed on the Indonesia Stock Exchange JOURNAL ARTICLE published 5 September 2018 in Investment Management and Financial Innovations |
Corporate social responsibility disclosure and firm performance: Evidence from Vietnam JOURNAL ARTICLE published 21 July 2022 in Investment Management and Financial Innovations |
Feature selection methods and sampling techniques to financial distress prediction for Vietnamese listed companies JOURNAL ARTICLE published 25 March 2019 in Investment Management and Financial Innovations |
Spillover effects between Greece and Cyprus: a DCC model on the interdependence of small economies JOURNAL ARTICLE published 24 November 2020 in Investment Management and Financial Innovations |
Financial distress prediction of listed companies – empirical evidence on the Vietnamese stock market JOURNAL ARTICLE published 6 July 2020 in Investment Management and Financial Innovations |
Auto-regressive Distributed Lag Model for long-run US household debt determinants JOURNAL ARTICLE published 1 August 2019 in Investment Management and Financial Innovations |
Metaorder limit prices in evaluating expected market impact and assessing execution service quality JOURNAL ARTICLE published 4 July 2019 in Investment Management and Financial Innovations |
Dynamic interactions among the industrial sector and its determinants in Jordan JOURNAL ARTICLE published 24 December 2019 in Investment Management and Financial Innovations Research funded by RHB Islamic Bank Berhad (53276) |
The impact of corporate social responsibility on financial performance JOURNAL ARTICLE published 23 September 2016 in Investment Management and Financial Innovations |
Trade-off theory of capital structure: evidence from estimations of non-parametric and semi-parametric panel fixed effect models JOURNAL ARTICLE published 31 March 2017 in Investment Management and Financial Innovations |
Does COVID-19 drive the US corporate-government bonds yield correlations? Local and global reporting JOURNAL ARTICLE published 7 September 2022 in Investment Management and Financial Innovations |
Tax amnesty and company value: Testing tax avoidance as an intervening variable JOURNAL ARTICLE published 25 August 2022 in Investment Management and Financial Innovations |
Countercyclical monetary policy in major economies of the Commonwealth of Independent States JOURNAL ARTICLE published 20 January 2012 in Investment Management and Financial Innovations |
The role of microfinance institutions in enhancing the sustainability of women-owned SMMES JOURNAL ARTICLE published 1 July 2022 in Investment Management and Financial Innovations |