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Theorie 5 Theory 5 Aktienmarkt 4 Börsenkurs 4 Share price 4 Stock market 4 financial crisis 4 financial stability 4 impulse-response function 4 interest rate 4 Cholesky decomposition 3 Institutional investor 3 Institutioneller Investor 3 VAR 3 Welt 3 World 3 contagion 3 economic growth 3 exposure at default 3 financial crises 3 panel data 3 stock market efficiency 3 transmission mechanism 3 Anlageverhalten 2 Bank 2 Basel II 2 Behavioural finance 2 Börsenhandel 2 Crisis 2 Derivat 2 Derivative 2 Financial crisis 2 Financial sector 2 Finanzkrise 2 Finanzsektor 2 Firm performance 2 Geldpolitik 2 Globalization 2 Hedging 2 Immobilienfonds 2
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Free 51 Undetermined 19
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Article 70
Type of publication (narrower categories)
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Article in journal 19 Aufsatz in Zeitschrift 19 Article 2
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Undetermined 49 English 21
Author
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ASONGU, Simplice A. 2 DURCOVÁ, Júlia 2 KUDRYAVTSEV, Andrey 2 Michael Jacobs, Jr. 2 Mirdala, Rajmund 2 SENSOY, Ahmet 2 STRAVELAKIS, Nikos 2 Vasilev, Aleksandar 2 ABAOUB, Ezzeddine 1 ARFAOUI, Mongi 1 Abdullahi, Shafiu Ibrahim 1 Amaitiek, Omer Faraj S. 1 Amegnaglo, Cocou Jaures 1 Antonakakis, Nikolaos 1 BENBOUZIANE, Mohamed 1 Bag, Pinaki 1 Baghdadabad, Mohammad Reza Tavakoli 1 Balaj, Driton 1 Bartókova, Ludmila 1 Battaglia, Francesca 1 Blinov, Sergey 1 Bougatef, Khemaies 1 Braga, André Almeida 1 Bruder, Benjamin 1 Bucci, Andrea 1 Canale, Rosaria Rita 1 Carfi, David 1 Cayton, Peter Julian A. 1 Chichti, Jameleddine 1 Cocoşilă, Mihaela 1 Curto, José Dias 1 DJENNAS, Meriem 1 DJENNAS, Mustapha 1 Dennis S. Mapa, Ph. D. 1 Eric Kyper, Ph.D. 1 Esposito, Francesco P. 1 Estrada, Fernando 1 Falcão, Pedro Fontes 1 Fucidji, José Ricardo 1 Gauci, Tiziana Marie 1
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Journal of Advanced Studies in Finance 51 Journal of advanced studies in finance : JASF 19
Source
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RePEc 49 ECONIS (ZBW) 19 EconStor 2
Showing 11 - 20 of 70
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MACROECONOMIC IMPACTS OF THE INTEREST RATE SHOCKS IN THE SELECTED EURO AREA COUNTRIES
DURCOVÁ, Júlia - In: Journal of Advanced Studies in Finance III (2013) 2, pp. 140-150
The following paper aims at analysing the impact of a shock in interest rate on selected economic variables in the five European Union member countries (Germany, France, Netherlands, Belgium and Luxembourg). The analysis shall be done through the VAR method where we will use the approach of the...
Persistent link: https://www.econbiz.de/10010607589
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ANALYSIS ON RUNS OF DAILY RETURNS IN ISTANBUL STOCK EXCHANGE
SENSOY, Ahmet - In: Journal of Advanced Studies in Finance III (2012) 2, pp. 151-161
The aim of this paper is to obtain some statistical properties about runs of daily returns of ISE30, ISE50 and ISE100 indices and compare these results with the empirical stylized facts of developed stock markets. In this manner, all time historical daily closing values of these indices are...
Persistent link: https://www.econbiz.de/10010898005
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MARX'S THEORY OF CRISIS IN THE CONTEXT OF FINANCIALIZATION. ANALYTICAL INSIGHTS ON THE CURRENT CRISIS
STRAVELAKIS, Nikos - In: Journal of Advanced Studies in Finance III (2012) 2, pp. 171-191
Lain by the fact that the present crisis was not preceded by a sharp decline in the rate of profit, Marxist and heterodox economists, investigate its' causes in structural and institutional factors emerging in a «new phase» of capitalism dominated by «financialization» of capital. In this...
Persistent link: https://www.econbiz.de/10010898006
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VOLATILITY, INFORMATION AND STOCK MARKET CRASHES
Antonakakis, Nikolaos; Scharler, Johann - In: Journal of Advanced Studies in Finance III (2012) 1, pp. 49-67
In this paper, we examine the evolution of the S&P500 returns volatility around market crashes using a Markov-Switching model. We find that volatility typically switches into the high volatility state well before a crash and remains in the high state for a considerable period of time after the...
Persistent link: https://www.econbiz.de/10010898007
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FISCAL POLICY AND NATIONAL SAVINGS IN THE CZECH REPUBLIC AND SLOVAKIA
Musil, Petr; Vincencová, Eva - In: Journal of Advanced Studies in Finance III (2012) 1, pp. 39-48
The goal of the paper is to analyse the influence of fiscal policy on the national savings in the Czech Republic and Slovakia. In other words, the authors are about to compare the theory of Barro Ricardian equivalence in the conditions of the Czech and Slovak economy. Firstly, the authors...
Persistent link: https://www.econbiz.de/10010851971
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CHARACTERISTICS OF THE CHINESE BOURSES (STOCK MARKETS)
Jeffrey E. Jarrett, Ph.D.; Eric Kyper, Ph.D. - In: Journal of Advanced Studies in Finance III (2012) 1, pp. 27-38
We analyze a data base not heretofore discussed in the literature to determinine some financial characteristics of the Chinese Bourses (Stock Markets). The prupose is to determine if the emerging financial markets of China developed in such a way that here was positive influence associated with...
Persistent link: https://www.econbiz.de/10010698842
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GLOBALIZATION, FINANCIAL CRISIS AND CONTAGION: TIME - DYNAMIC EVIDENCE FROM FINANCIAL MARKETS OF DEVELOPING COUNTRIES
ASONGU, Simplice A. - In: Journal of Advanced Studies in Finance III (2012) 2, pp. 131-139
Financial integration among economies has the benefit of improving allocation efficiency and diversifying risk. However the recent global financial crisis, considered as the worst since the Great Depression has re-ignited the fierce debate about the merits of financial globalization and its...
Persistent link: https://www.econbiz.de/10010698843
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MANAGING SOVEREIGN CREDIT RISK IN BOND PORTFOLIOS1
Bruder, Benjamin; Hereil, Pierre; Roncalli, Thierry - In: Journal of Advanced Studies in Finance III (2012) 1, pp. 5-26
With the recent development of the European debt crisis, traditional index bond management has been severely called into question. We focus here on the risk issues raised by the classical market-capitalization weighting scheme. We propose an approach to properly measure sovereign credit risk in...
Persistent link: https://www.econbiz.de/10010698844
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THE DEVELOPMENT OF THE PORTFOLIO MANAGEMENT FOR THE UNIT INVESTMENT FUNDS
Sergeeva, Irina; Nikiforova, Vera - In: Journal of Advanced Studies in Finance III (2012) 1, pp. 84-94
The paper analyses the common Russian assessment practice regarding the effectiveness of the unit investment fund portfolio management based on the risk/return tradeoff. In the authors? opinion, the assessment technique should not be only quantitative, but it should also reveal the risks hidden...
Persistent link: https://www.econbiz.de/10010698845
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THE CURRENT FINANCIAL AND ECONOMIC CRISIS: EMPIRICAL AND METHODOLOGICAL ISSUES
Strachman, Eduardo; Fucidji, José Ricardo - In: Journal of Advanced Studies in Finance III (2012) 1, pp. 95-123
In this paper we describe the main causes of the recent financial crisis as a result of many theoretical, methodological, and practical shortcomings mostly according to heterodox, but also including some important orthodox economists. At theoretical level, there are problems concerning teaching...
Persistent link: https://www.econbiz.de/10010698846
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