|
EconStor >
Scienpress Ltd, London >
Journal of Finance and Investment Analysis
Collection home page
|
|
Showing items 1-9 of 9.
| Date | Title |
Authors |
| 2012 | DrawDown constraints and portfolio optimization | Davidsson, Marcus |
| 2012 | Network centrality and stock market volatility: The impact of communication topologies on prices | Hein, Oliver / Schwind, Michael / Spiwoks, Markus |
| 2012 | A non-parametric approach of heteroskedasticity robust estimation of Vector-Autoregressive (VAR) models | Grobys, Klaus |
| 2012 | Do consumer attitudes matter in capital markets? A study of mutual funds in Oman market | Tahseen, Arshi A. / Narayana, Surya |
| 2012 | The effect of changing the status of sports clubs: From association to the company | Theiri, Saliha / Medabesh, Ali / Ati, Abdessatar |
| 2012 | Does the use of outsiders' fund enhance shareholders' wealth? Evidence from Nigeria | Onwumere, J. U. J. / Ibe, Imo G. / Ozoh, Frank O. |
| 2012 | Post-modern portfolio theory supports diversification in an investment portfolio to measure investment's performance | Rasiah, Devinaga |
| 2012 | Have bull and bear markets changed over time? Empirical evidence from the US-stock market | Grobys, Klaus |
| 2012 | Dynamic speculative behaviors and mortgage bubbles in the real estate market of mainland China | Wang, Sheng |
|