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Determinants of credit default swaps implied ratings during the crisis: was sovereign risk mispriced?

JOURNAL ARTICLE published 4 July 2018 in Investment Management and Financial Innovations

Authors: Maria Alberta Oliveira | Carlos Santos

Bowman's risk-return relationship: Empirical evidence in a frontier market

JOURNAL ARTICLE published 3 June 2022 in Investment Management and Financial Innovations

Authors: Lai Cao Mai Phuong

Governance of risks in South Africa’s public higher education institutions (HEIs)

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

Authors: Tankiso Moloi

The relationship between compensation committee quality and the voluntary adoption of clawback provisions

JOURNAL ARTICLE published 21 December 2018 in Investment Management and Financial Innovations

Authors: Hui-Wen Hsu | Liu-Ching Tsai | Chaur-Shiuh Young | Chia-Hui Chen

The preferred usage of equity and debt financing in family businesses: evidence from Czech Republic

JOURNAL ARTICLE published 7 August 2020 in Investment Management and Financial Innovations

Authors: Naděžda Petrů | Andrea Tomášková

Determinants of capital structure of Spanish firms: the case of listed companies in time of crisis

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

Authors: Natividad Rodríguez-Masero

Using managerial and market tools to measure the impact of acquisition operations on firm performance

JOURNAL ARTICLE published 23 March 2021 in Investment Management and Financial Innovations

Authors: Zakia Abdelmoneim | Mostafa Abdelrahman Fekry

Oil price movements, exchange rate and Nigerian manufacturing sector growth: a short-run analysis

JOURNAL ARTICLE published 26 September 2018 in Investment Management and Financial Innovations

Authors: Adeleke Omolade | Harold Ngalawa

Contemporaneous and asymmetric volume-return relationship: cross-product evidence from an emerging market

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

Authors: Jung-Chu Lin

The impact of financial development and corruption on foreign direct investment in developing countries

JOURNAL ARTICLE published 7 June 2022 in Investment Management and Financial Innovations

Authors: Diana Lestari | Dadang Lesmana | Yanzil Azizil Yudaruddin | Rizky Yudaruddin

Russia’s invasion of Ukraine: The reaction of Islamic stocks in the energy sector of Indonesia

JOURNAL ARTICLE published 2 March 2023 in Investment Management and Financial Innovations

Authors: Nur Rizqi Febriandika | Rima Mila Wati | Mauizhotul Hasanah

Perception vs. reality: Analysing the nexus between financial literacy and fintech adoption

JOURNAL ARTICLE published 2 October 2023 in Investment Management and Financial Innovations

Authors: Shamli Prabhakaran | Mynavathi L.

A game-theoretical model for investment in inclusive recreation and wellness in Ukraine: the regional context

JOURNAL ARTICLE published 27 December 2019 in Investment Management and Financial Innovations

Authors: Mykola Petrushenko | Hanna Shevchenko | Borys Burkynskyi | Nina Khumarova

The impact of the deferred tax adjustment on the Economic Value Added (EVA) measure

JOURNAL ARTICLE published 13 November 2017 in Investment Management and Financial Innovations

Authors: Melissa Naicker

IFRS adoption and investor perceptions of earnings quality: evidence from Korea

JOURNAL ARTICLE published 17 January 2018 in Investment Management and Financial Innovations

Authors: Heejeong Shin | Su-In Kim | Sangmi Kim

JOURNAL ISSUE published 23 January 2018 in Investment Management and Financial Innovations

Correlation of stock market returns in the West African region from 2008 to 2016

JOURNAL ARTICLE published 22 August 2019 in Investment Management and Financial Innovations

Authors: Eseosa Obadiaru | Alex Omankhanlen | Barnabas Obasaju | Henry Inegbedion

The influence of U.S. equity returns on Asian-Pacific equity markets

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

Authors: Earl D. Benson | Sophie X. Kong

Hedging and non-hedging trading strategies on commodities using the d-Backtest PS method. Optimized trading system hedging

JOURNAL ARTICLE published 1 October 2018 in Investment Management and Financial Innovations

Authors: Dimitrios Th. Vezeris | Themistoklis S. Kyrgos | Christos J. Schinas

Analysis of regional differences in government funding performance in higher education – A case study of China

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

Authors: Yanjun Fu | Mykhaylo Heyenko