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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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Online availability
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Free 126
Type of publication
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Article 127
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 127
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 Barine, Michael Nwidobie 2 Bola, Adetunji Abigail 2 Bui Trinh 2 Chaiechi, Taha 2 Chan Ho Yan Sabrina 2 Chen, Ke 2 Chia Rui Ming Daryl 2
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Published in...
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Journal of finance and investment analysis 118 Journal of Finance and Investment Analysis 9
Source
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ECONIS (ZBW) 59 OLC EcoSci 59 EconStor 9
Showing 21 - 30 of 127
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The examination of the degree of integration among art markets
Bakhouche, Abderazak - In: Journal of finance and investment analysis 2 (2013) 1, pp. 101-120
This paper applies the Johansen Cointegration procedure to test the law of one price (LOOP) for twelve international markets of paintings using semi-annual data for the period 1985-2007. Cointegration test is performed in a pairwise arrangement. Price index for each market is estimated using the...
Persistent link: https://www.econbiz.de/10010148281
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The impact of the 2004 reform of the operational framework of the ECB : structural GARCH evidence
Zagaglia, Paolo; Marzo, Massimilano - In: Journal of finance and investment analysis 2 (2013) 1, pp. 85-100
We investigate the money-market impact of the reform of the operational framework of the European Central Bank that took place in March 2004. We estimate a structural bivariate GARCH model with the overnight rate and 1-year swap rate, where identifying restrictions are imposed on the conditional...
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Commercial paper rates and stock market excess returns
Sum, Vichet - In: Journal of finance and investment analysis 2 (2013) 1, pp. 77-83
This study investigates how commercial paper rates respond to the innovations in stock market risk premiums. The unrestricted vector autoregression (VAR) analysis of monthly data from 1997:1 to 2012:M6 shows that the changes in the one-, two-, and three-month non-financial and financial...
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Interpreting financial statements
Lucouw, Pierre - In: Journal of finance and investment analysis 2 (2013) 1, pp. 69-76
Analysis of company financial statements is a topic that is well covered in the financial literature. Unfortunately, the interpretation of the analysis is often neglected as a scientific approach to interpretation seems to be elusive. This paper attempts to provide a methodology whereby insight...
Persistent link: https://www.econbiz.de/10010148284
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The relevance of variance analysis in managerial cost control
Dandago, Kabiru I.; Adah, Abuh - In: Journal of finance and investment analysis 2 (2013) 1, pp. 61-67
Cost plays a prominent decision making role in the life of an individual and organisation because it is a central focus of daily financial activities. In any financial engagement, usually for a reward, the costs that are incidental to the engagement could be broadly analysed into material,...
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Forecasting movement of the Nigerian Stock Exchange All Share index using artificial neural and Bayesian networks
Bola, Adetunji Abigail; Adesola, Aderounmu Ganiyu; … - In: Journal of finance and investment analysis 2 (2013) 1, pp. 41-59
This paper presents a study of Artificial Neural Network (ANN) and Bayesian Network (BN) for use in stock index prediction. The data from Nigerian Stock Exchange (NSE) market are applied as a case study. Based on the rescaled range analysis, the neural network was used to capture the...
Persistent link: https://www.econbiz.de/10010148286
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Economic evaluation of a cruise ship dock marine
Polykalas, Spyros E.; Troumpetas, Spyros - In: Journal of finance and investment analysis 2 (2013) 1, pp. 23-39
Cruise industry has increased in popularity all around the world, serving a heterogeneous clientele with well-differentiated expectations and preferences mainly in Asian, European and North American Markets. Greece as one of the most attractive tourism destinations is ranked highly among the...
Persistent link: https://www.econbiz.de/10010148287
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Confidence in financial institutions, expectations and public debt
DiPietro, William R. - In: Journal of finance and investment analysis 2 (2013) 1, pp. 15-22
This paper uses cross country regression analysis on a large set of countries to consider two hypotheses. The first is that increased public debt as a percentage of the economy reduces confidence in financial institutions. The second is that increased public debt relative to the economy lowers...
Persistent link: https://www.econbiz.de/10010148288
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Return and risk-return ratio based momentum strategies : a fresh perspective
Chia Rui Ming Daryl; Lim Kai Jie Shawn; Chan Ho Yan Sabrina - In: Journal of finance and investment analysis 2 (2013) 1, pp. 1-13
In this study, we contribute to existing literature on momentum strategies by assessing a modified version of risk-return ratio based security selection criterion in an untested market – the KOSPI 200 over June 2006 to June 2012. Besides conventional risk-return ratios such as the Sharpe...
Persistent link: https://www.econbiz.de/10010148289
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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...
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