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Subject
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Theorie 15 Theory 15 Portfolio selection 13 Portfolio-Management 13 Aktienmarkt 9 Börsenkurs 9 Capital income 9 Kapitaleinkommen 9 Share price 9 Stock market 8 Nigeria 7 Börsenhandel 6 Stock exchange trading 6 Aktienindex 4 Anlageverhalten 4 Bank 4 Behavioural finance 4 China 4 Estimation 4 Schätzung 4 Volatility 4 Volatilität 4 Welt 4 Aktiengesellschaft 3 Estimation theory 3 Financial market 3 Finanzmarkt 3 Geldpolitik 3 Immobilienmarkt 3 Investment Fund 3 Investmentfonds 3 Kenia 3 Kenya 3 Listed company 3 Monetary policy 3 Performance measurement 3 Performance-Messung 3 Schätztheorie 3 Stock index 3 USA 3
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Free 126
Type of publication
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Article 126
Type of publication (narrower categories)
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Article in journal 59 Aufsatz in Zeitschrift 59 Article 9
Language
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English 126
Author
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Grobys, Klaus 6 Aduda, Josiah 4 Gill, Amarjit 4 Kobayashi, Kiyoshi 4 Mand, Harvinder S. 4 Savvides, Savvakis C. 4 Sharma, Suraj P. 4 Zagaglia, Paolo 4 Ati, Abdessatar 3 Davidsson, Marcus 3 Hein, Oliver 3 Ibe, Imo G. 3 Medabesh, Ali 3 Narayana, Surya 3 Onwumere, J. U. J. 3 Ozoh, Frank O. 3 Schwind, Michael 3 Spiwoks, Markus 3 Tahseen, Arshi A. 3 Theiri, Saliha 3 Wang, Sheng 3 Adah, Abuh 2 Adebisi, Adigun Abimbola 2 Adesola, Aderounmu Ganiyu 2 Adnan, Yassine 2 Akpan, A. U. 2 Albuquerque, Fábio de 2 Anis, Ochi 2 Asheghian, Parviz 2 Asuquo, Akabom Ita 2 Babu, K. Nagendra 2 Baccar, Amel 2 Bakhouche, Abderazak 2 Bola, Adetunji Abigail 2 Bui Trinh 2 Chaiechi, Taha 2 Chan Ho Yan Sabrina 2 Chen, Ke 2 Chia Rui Ming Daryl 2 Cohen, Gil 2
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Published in...
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Journal of finance and investment analysis 117 Journal of Finance and Investment Analysis 9
Source
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ECONIS (ZBW) 59 OLC EcoSci 58 EconStor 9
Showing 1 - 10 of 126
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Foreign direct investment, financial markets and growth dynamics in MENA oil producing countries : a panel investigation
Onwuka, Kevin O.; Chaiechi, Taha - In: Journal of finance and investment analysis 2 (2013) 2, pp. 135-159
The objective of this paper is to examine whether foreign direct investments (FDI) in extractive sector enhances growth, using data from seven MENA oil producing countries; namely Bahrain, Kuwait, Oman, Qatar, United Arab Emirates, Saudi Arabia and Iran over the period 1980 to 2004. We employ...
Persistent link: https://www.econbiz.de/10009745993
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Performance of Islamic banks in portfolio investment : evidence from Dhaka Stock Exchange
Siddkee, Noman; Islam, Shafiqul; Azad, Md. Abul Kalam - In: Journal of finance and investment analysis 2 (2013) 2, pp. 125-134
The paper aims at examining the performance of Islamic Banks of Bangladesh in portfolio investment in the context of Dhaka Stock Exchange (DSE). Stocks of a total number of 26 listed companies have been purposively been selected for the study from the total number of 511 listed companies. Only...
Persistent link: https://www.econbiz.de/10009745996
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The rebuilding of the Cyprus economy
Savvides, Savvakis C. - In: Journal of finance and investment analysis 2 (2013) 2, pp. 107-123
Following the extra ordinary decision to bail in the unsecured depositors and restructure the two main banks and the near complete destruction of the country’s economic business model as an International Financial Centre, the author considers the changes necessary to rebuild the economy of...
Persistent link: https://www.econbiz.de/10009745997
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Drawdown risk in mutual funds performance
Kumaran, Sunitha - In: Journal of finance and investment analysis 2 (2013) 2, pp. 89-106
To many people, the terror of falling share prices is often significant, often more so than the pleasure of gains. Accordingly, investors often want to minimize downside volatility as a part of their portfolio planning. Investors already have several tools to measure downside volatility,...
Persistent link: https://www.econbiz.de/10009746020
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Factors determining the selection of capital budgeting techniques
Ahmed, Ibrahim El Siddig - In: Journal of finance and investment analysis 2 (2013) 2, pp. 77-88
Many studies explore only use or non-use of capital budgeting methods, and not the factors that determine the selection of the method used in UAE or the region. The relationships between use and independent variables that affect the selection of the method have been studied. The study attempts...
Persistent link: https://www.econbiz.de/10009746024
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An assessment of the quality of auditors’ reports in the Nigerian banking industry
Dandage, Kabiru I.; Rufai, Abdullahi Sani - In: Journal of finance and investment analysis 2 (2013) 2, pp. 63-75
The preparation, presentation, analysis, and interpretation of financial statements of an organization are major functions of the accounting system. This paper therefore, assesses the quality of auditor’s reports in the Nigerian Banking Industry, with a view to ascertaining the level of...
Persistent link: https://www.econbiz.de/10009746025
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An empirical analysis of macro-economic influences on corporate capital structure of listed companies in Kenya
Muthama, Charles; Mbaluka, Peter; Kalunda, Elizabeth - In: Journal of finance and investment analysis 2 (2013) 2, pp. 41-62
Capital structure is an important aspect of financial management however the influence of macroeconomic factors in the determination of capital structure is to some extent under-researched. This article analyzes the influence of the macro economic factors on the capital structure of selected...
Persistent link: https://www.econbiz.de/10009746027
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Testing the CAPM for the Brazilian stock market using multivariate GARCH between 1995 and 2012
Godeiro, Lucas Lúcio; Silva, Cesar R. da; Rodrigues, … - In: Journal of finance and investment analysis 2 (2013) 2, pp. 15-39
The paper tests the CAPM for the Brazilian stock market using dynamic betas. The sample involves 28 stocks included in the Ibovespa portfolio as of March 21, 2012 and that were traded during the period from Jan. 01, 1995 to March 20, 2012. Dynamic betas were estimated and conditional betas...
Persistent link: https://www.econbiz.de/10009746028
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Using intraday statistics for the estimation of the return variance
Reschenhofer, Erhard - In: Journal of finance and investment analysis 2 (2013) 2, pp. 1-13
This paper proposes new estimators for the daily return variance which are based on common intraday statistics (opening, high, low, and closing prices). These estimators utilize information contained in products of absolute values of uncorrelated intraday statistics. An empirical study of nine...
Persistent link: https://www.econbiz.de/10009746033
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Optimizing portfolio liquidation under risk-based margin requirements
Deng, Geng; Dulaney, Tim; McCann, Craig - In: Journal of finance and investment analysis 2 (2013) 1, pp. 121-153
This paper incorporates risk-based margin requirements into portfolio liquidation procedures in a novel fashion. The approach is analytic and, as a result, more efficient than conventional numerical liquidation methods. The margin requirement calculation is a self-contained inner optimization...
Persistent link: https://www.econbiz.de/10009746034
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