Investment Management and Financial Innovations

Titel Veröffentlichungsdatum Sprache Zitate
Diffusion of COVID-19 impact across selected stock markets: a wavelet coherency analysis2020/12/038
Effects of financial statements information on firms’ value: evidence from Vietnamese listed firms2018/11/278
Free cash flow, investment inefficiency, and earnings management: evidence from manufacturing firms listed on the Indonesia Stock Exchange2018/03/218
Model of assessment of financial imbalances in regions of Ukraine2019/04/028
The emerging fintech and financial slack on corporate financial performance2019/06/278
Influence of demographic factors on the entrepreneurial intentions of university students in Oman2016/04/088
Remuneration Committee governance and firm performance in UK financial firms2016/04/088
Determinants of capital structure: evidence from Jordanian service companies2020/07/038
Value-at-risk (VAR) estimation and backtesting during COVID-19: Empirical analysis based on BRICS and US stock markets2022/01/318
Intellectual capital and market value: evidence from Jordan2019/11/128
Consumer protection policy in the Polish life insurance market in the aspect of current legal regulations2019/12/058
Factors influencing financial statement disclosure: Empirical evidence from Indonesia2022/06/138
Examining the impact of product involvement, subjective norm and perceived behavioral control on investment intentions of individual investors in Pakistan2017/12/258
Methodological bases of estimating the efficiency of economic security management of the enterprises in the global environment2018/05/188
The opportunities of engaging FinTech companies into the system of cross-border money transfers in Ukraine2018/12/188
Net investment position and the stock market: The case of traditional and ESG indices2022/04/147
Spatial tale of G-7 and BRICS stock markets during COVID-19: An event study2021/04/157
Project finance risk management for public-private partnership2017/12/257
Financial monitoring of the port industry companies on the basis of risk-oriented approach2017/05/087
Evaluation of investment environment security in Ukraine2018/12/147
Feature selection methods and sampling techniques to financial distress prediction for Vietnamese listed companies2019/03/257
The relationship between perceived organizational support and organizational commitment among academics: the mediating effect of job satisfaction2016/09/237
Value chain analysis to improve corporate performance: a case study of essential oil export company in Indonesia2016/09/237
Detecting false financial statements: evidence from Greece in the period of economic crisis2017/10/057
Risks and possibilities of the effect of financial inclusion on managing the financial security at the macro level2018/12/107
Bankruptcy prediction model for listed companies in Greece2021/05/277
Corporate governance and management of earnings: empirical evidence from selected Nigerian-listed companies2016/07/047
Evaluation and use of indicators of insurance companies’ investment activities2013/10/037
Statistical model of risk assessment of insurance company’s functioning2015/08/077
Does access to finance improve household welfare?2016/06/037