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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 |
Bowman's risk-return relationship: Empirical evidence in a frontier market JOURNAL ARTICLE published 3 June 2022 in Investment Management and Financial Innovations |
Governance of risks in South Africa’s public higher education institutions (HEIs) JOURNAL ARTICLE published 4 July 2016 in Investment Management and Financial Innovations |
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 |
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 |
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 |
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 |
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 |
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 |
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 |
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 |
Perception vs. reality: Analysing the nexus between financial literacy and fintech adoption JOURNAL ARTICLE published 2 October 2023 in Investment Management and Financial Innovations |
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 |
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 |
IFRS adoption and investor perceptions of earnings quality: evidence from Korea JOURNAL ARTICLE published 17 January 2018 in Investment Management and Financial Innovations |
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 |
The influence of U.S. equity returns on Asian-Pacific equity markets JOURNAL ARTICLE published 26 November 2019 in Investment Management and Financial Innovations |
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 |
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 |