EconBiz - Find Economic Literature
    • Logout
    • Change account settings
  • A-Z
  • Beta
  • About EconBiz
  • News
  • Thesaurus (STW)
  • Academic Skills
  • Help
  •  My account 
    • Logout
    • Change account settings
  • Login
EconBiz - Find Economic Literature
Publications Events
Search options
Advanced Search history
My EconBiz
Favorites Loans Reservations Fines
    You are here:
  • Home
  • Search: isPartOf_id:10009152146
Narrow search

Narrow search

Year of publication
Subject
All
Theorie 27 Theory 27 Bank 26 Börsenkurs 20 Share price 20 Capital income 17 Kapitaleinkommen 17 Financial crisis 14 Finanzkrise 14 Portfolio selection 14 Portfolio-Management 14 Aktienmarkt 13 Nigeria 13 Stock market 13 Volatility 13 Volatilität 13 Turkey 12 Türkei 12 Estimation 11 Schätzung 11 Welt 11 World 11 Firm performance 9 Unternehmensperformance 9 Exchange rate 8 Malaysia 8 Wechselkurs 8 Bank lending 7 Capital structure 7 Interest rate 7 Kapitalstruktur 7 Kreditgeschäft 7 USA 7 United States 7 Zins 7 Credit risk 6 Data envelopment analysis 6 Data-Envelopment-Analyse 6 Economic growth 6 Efficiency 6
more ... less ...
Online availability
All
Free 164
Type of publication
All
Article 164
Type of publication (narrower categories)
All
Article in journal 164 Aufsatz in Zeitschrift 164
Language
All
English 164
Author
All
Gill, Amarjit 5 Mathur, Neil 5 Grobys, Klaus 4 Anis, Ochi 2 Chang, Chuen-ping 2 Choudhry, Moorad 2 Kurihara, Yutaka 2 Nguyen, Chu V. 2 Pillai, P. S. 2 Siraj, K. K. 2 Taş, Oktay 2 Teker, Suat 2 Tsai, Jeng-yan 2 Ujunwa, Augustine 2 Uzunkaya, Mehmet 2 Valipour, Hashem 2 Aalaneme, G. C 1 Abdul Karim, Mohd Rahimie 1 Abuselidze, George 1 Aduda, Josiah 1 Agyei-Mensah, Ben A. 1 Ajlouni, Moh'd Mahmoud 1 Akarım, Yasemin Deniz 1 Akhtekhane, Saeed Shaker 1 Akinbobola, T. O. 1 Akinmulegun, Sunday Ojo 1 Aktas, Cihan 1 Al-Ewesat, Abdel-Rahman 1 Al-Jafari, Mohamed Khaled 1 Al-Khadash, Husam 1 Alber, Nader 1 Alp, Elçin Aykaç 1 Amin, Fatima 1 Annabi, Rejeb Aya 1 Apergēs, Nikolaos 1 Ardestani, Hananeh Shahteimoori 1 Arekar, Kirti 1 Artikis, Panayiotis G. 1 Atici, Gonca 1 Awad, Ibrahim M. Awad 1
more ... less ...
Published in...
All
Journal of applied finance & banking 164
Source
All
ECONIS (ZBW) 164
Showing 1 - 10 of 164
Cover Image
Dividend payout policy, investment opportunity set and corporate financing in the industrial products sector of Malaysia
Ardestani, Hananeh Shahteimoori; Zaleha Abdul Rasid; … - In: Journal of applied finance & banking 3 (2013) 1, pp. 123-136
There are various factors that influence dividend payout policy of corporations; investment opportunity set and corporate financing are among the important ones. Numerous studies have been conducted on the topic of payout policy but less attention is paid on developing countries. In this paper...
Persistent link: https://www.econbiz.de/10009741215
Saved in:
Cover Image
Volatility modeling for forecasting stock index with fixed parameter distributional assumption
Rahman, Md. Mostafizur; Rahman, Md. Azizur; Hossain, … - In: Journal of applied finance & banking 3 (2013) 1, pp. 109-122
The aim of this paper is to empirically investigate the in sample and out of sample forecasting performance of several GARCH-type models such as GARCH, EGARCH and APARCH model with Gaussian, student-t, Generalized error distribution (GED), student-t with fixed DOF 10 and GED with fixed parameter...
Persistent link: https://www.econbiz.de/10009741216
Saved in:
Cover Image
Price leadership between spot and futures markets
Kumar, Kiran; Chaturvedula, Chakrapani - In: Journal of applied finance & banking 3 (2013) 1, pp. 93-107
This paper aims to study the relative information shares of spot and futures market at the individual stock level to measure the price discovery in spot and futures market in the Indian capital markets. We find that the spot and futures prices are co-integrated and mutually adjusting. Building...
Persistent link: https://www.econbiz.de/10009741222
Saved in:
Cover Image
In search of optimal number of bond funds
Polwitoon, Sirapat; Tawatnuntachai, Oranee - In: Journal of applied finance & banking 3 (2013) 1, pp. 67-92
Although bonds are less volatile than equities and the median bond fund holds about 200 bonds, bond investors still need to hold more than one bond fund to realize the optimal benefit of diversification. The simulation results show that three to five bond funds reduce standard deviation of...
Persistent link: https://www.econbiz.de/10009741225
Saved in:
Cover Image
Profit efficiency and productivity of Vietnamese banks : a new index approach
Nahm, Daehoon; Ha Thu Vu - In: Journal of applied finance & banking 3 (2013) 1, pp. 45-65
In this paper, we measure and analyse profit efficiency and productivity of Vietnamese banks using a newly developed index approach which is based on the directional distance function. Our findings indicate that the average bank operates quite far below the frontier of the best-practice bank,...
Persistent link: https://www.econbiz.de/10009741239
Saved in:
Cover Image
Simple, compound and continuous interest discounts : a comparative study
Parada, Rigoberto - In: Journal of applied finance & banking 3 (2013) 1, pp. 31-43
This article makes an analytical comparison between simple, compound and continuous interest discount factors. It studies the equivalency relations between the three discount factors. An analysis is performed for a limited time period and of normal economy interest rates. It makes use of the...
Persistent link: https://www.econbiz.de/10009741255
Saved in:
Cover Image
A comparative performance assessment of wealth management banks using multicriteria analysis
Liang, Shuh - In: Journal of applied finance & banking 3 (2013) 1, pp. 13-30
This paper assesses a performance evaluation framework for wealth management (WM) banks. We propose a method that combines the analytic hierarchy process (AHP) with the assurance region (AR) model of data envelopment analysis (DEA) to enable a consensus decision. We also present several...
Persistent link: https://www.econbiz.de/10009741259
Saved in:
Cover Image
Testing the profitablitiy of a volume-augmented momentum strategy in the Phillipines equity market
Shawn, Lim Kai Jie; Dawai, Darius Lim; Weijie, Mak; … - In: Journal of applied finance & banking 3 (2013) 1, pp. 1-12
This study contributes new empirical evidence on the profitability of a momentum strategy in the Philippines equity market. The study was conducted over the time period January 2000 to June 2012. We evaluated a momentum strategy based only on past return information as well as a strategy that...
Persistent link: https://www.econbiz.de/10009741262
Saved in:
Cover Image
Bank lending to corporations : scenario analysis as an alternative to traditional metrics
Sagner, James S. - In: Journal of applied finance & banking 3 (2013) 1, pp. 147-159
For most financial institutions today, lending is a multi-step process that often is separated from credit review. In an ideal situation, the credit proposal delineates the inherent risks to the transaction. However, the thrust of the credit approval is more often the internal selling of the...
Persistent link: https://www.econbiz.de/10009741784
Saved in:
Cover Image
The impact of educational qualifications, experience and venture capital awareness on co-ownership of small enterprises in Nigeria
Rosemary, Obasi; Pat, Donwa - In: Journal of applied finance & banking 3 (2013) 1, pp. 137-146
This study "The impact of education, experience, and venture capital awareness on co-ownership of small enterprises in Nigeria" aims at ascertaining whether experience, education and venture capital awareness influence the willingness of small businesses owners to share control power of their...
Persistent link: https://www.econbiz.de/10009741788
Saved in:
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • 8
  • 9
  • 10
  • 11
  • Next
  • Last
A service of the
zbw
  • Sitemap
  • Plain language
  • Accessibility
  • Contact us
  • Imprint
  • Privacy

Loading...