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Journal of Advanced Studies in Finance

2010 - 2012

from Association for Sustainable Education, Research and Science
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Volume III, issue 2, 2012

GLOBALIZATION, FINANCIAL CRISIS AND CONTAGION: TIME - DYNAMIC EVIDENCE FROM FINANCIAL MARKETS OF DEVELOPING COUNTRIES pp. 131-139 Downloads
Simplice Anutechia Asongu
MACROECONOMIC IMPACTS OF THE INTEREST RATE SHOCKS IN THE SELECTED EURO AREA COUNTRIES pp. 140-150 Downloads
Júlia DURCOVÁ
ANALYSIS ON RUNS OF DAILY RETURNS IN ISTANBUL STOCK EXCHANGE pp. 151-161 Downloads
Ahmet Şensoy
OVERNIGHT STOCK PRICE REVERSALS pp. 162-170 Downloads
Andrey Kudryavtsev
MARX'S THEORY OF CRISIS IN THE CONTEXT OF FINANCIALIZATION. ANALYTICAL INSIGHTS ON THE CURRENT CRISIS pp. 171-191 Downloads
Nikos Stravelakis

Volume III, issue 1, 2012

MANAGING SOVEREIGN CREDIT RISK IN BOND PORTFOLIOS1 pp. 5-26 Downloads
Benjamin Bruder, Pierre Hereil and Thierry Roncalli
CHARACTERISTICS OF THE CHINESE BOURSES (STOCK MARKETS) pp. 27-38 Downloads
Ph.D. Jeffrey E. Jarrett and Ph.D. Eric Kyper
FISCAL POLICY AND NATIONAL SAVINGS IN THE CZECH REPUBLIC AND SLOVAKIA pp. 39-48 Downloads
Petr Musil and Eva Vincencová
VOLATILITY, INFORMATION AND STOCK MARKET CRASHES pp. 49-67 Downloads
Nikolaos Antonakakis and Johann Scharler
MOODY’S CREDIT RATINGS AND THE STOCK MARKET PERFORMANCE OF PORTUGUESE RATED FIRMS pp. 68-83 Downloads
Luis Pacheco
THE DEVELOPMENT OF THE PORTFOLIO MANAGEMENT FOR THE UNIT INVESTMENT FUNDS pp. 84-94 Downloads
Irina Sergeeva and Vera Nikiforova
THE CURRENT FINANCIAL AND ECONOMIC CRISIS: EMPIRICAL AND METHODOLOGICAL ISSUES pp. 95-123 Downloads
Eduardo Strachman and José Ricardo Fucidji

Volume II, issue 2, 2011

FAIR REDISTRIBUTION IN FINANCIAL MARKETS: A GAME THEORY COMPLETE ANALYSIS pp. 74-100 Downloads
David Carfì and Francesco Musolino
MONEY, STOCK PRICES AND ECONOMIC ACTIVITY IN SELECTED EUROPEAN COUNTRIES pp. 101-115 Downloads
Lumír Kulhánek
FINANCIAL INTEGRATION AND ECONOMIC GROWTH IN THE EUROPEAN TRANSITION ECONOMIES pp. 116-137 Downloads
Rajmund Mirdala
INTERNATIONAL MOVEMENT OF CAPITAL - DEBT FINANCES: THE CASE OF SIX POST-COMMUNIST ECONOMIES pp. 138-149 Downloads
Manuela Raisová
AN EMPIRICAL ANALYSIS OF FUNDS' ALTERNATIVE MEASURES IN THE DRAWDOWN RISK MEASURE (DRM) FRAMEWORK pp. 150-168 Downloads
Mohammad Reza Tavakoli Baghdadabad, Fauzias Mat Nor and Izani Ibrahim
MARKETING PRICING STRATEGIES USED BY THE BRANCHES OF CHAIN STORES pp. 169-176 Downloads
Róbert Štefko, Jaroslava Gburová and Jana Jurková
THE INDEX EFFECT - IS IT POSSIBLE TO PREDICT? pp. 177-184 Downloads
Tchai Tavor

Volume II, issue 1, 2011

PORTFOLIO INVESTMENTS IN THE SELECTED EUROPEAN TRANSITION ECONOMIES pp. 4-17 Downloads
Ludmila Bartókova
CREDIT RISK TOOLS: AN OVERVIEW pp. 18-25 Downloads
Francesco P. Esposito
WHAT DO WE KNOW ABOUT EXPOSURE AT DEFAULT ON CONTINGENT CREDIT LINES? - A SURVEY OF THE LITERATURE, EMPIRICAL ANALYSIS AND MODELS pp. 26-46 Downloads
Michael Jacobs and Pinaki Bag
COMMODITY ETFS IN THE JAPANESE STOCK EXCHANGES pp. 47-52 Downloads
Nobuyoshi Yamori
THE EURO SOVEREIGN DEBT CRISIS, DETERMINANTS OF DEFAULT PROBABILITIES AND IMPLIED RATINGS IN THE CDS MARKET: AN ECONOMETRIC ANALYSIS pp. 53-61 Downloads
Carlos Santos

Volume I, issue 2, 2010

The Determinants of Systematic Risk: International Evidence from the Macro-Finance Interface pp. 121 - 144 Downloads
Mongi ARFAOUI and ABAOUB Ezzeddine
Debt Market timing: Evidence from Bank-based Systems pp. 144 - 151 Downloads
Khemaies Bougatef and Jameleddine Chichti
Estimating Value-At-Risk (Var) Using TIVEX-POT Models pp. 152 - 170 Downloads
Peter Julian Amascual Cayton, Dennis Sioson Mapa and Mary Therese A. Lising
Impact of Governamental Policies in Legislation afterthe Global Financial Crisis – especially in Kosovo pp. 171 - 180 Downloads
Armand Krasniqi
Macroeconomic Determinants of Stock Returns in Pakistan: the Case of Karachi Stock Exchange pp. 181 - 187 Downloads
Nadeem SOHAIL and ZAKIR Hussain
Reliability and Heterogeneity of Real Estate Indexes and their Impact on the Predictability of Returns pp. 188 - 203 Downloads
Francesca Battaglia, Claudio Porzio and Gabriele Sampagnaro

Volume I, issue 1, 2010

Central Bank Reaction to Public Deficit and Sound Public Finance: The Case of the European Monetary Union pp. 4-17 Downloads
Rosaria Rita Canale
Theory of Argumentation in Financial Markets pp. 18-22 Downloads
Fernando Estrada
Volatility Co-Movement of Asean-5 Equity Markets pp. 23-30 Downloads
Swee-Ling Oh, Evan Lau, Chin-Hong Puah and Shazali Abu Mansor
An Empirical Study of Exposure at Default pp. 31-59 Downloads
Michael Jacobs
Sources of Exchange Rate Dynamics in the European Transition Economies pp. 60-71 Downloads
Rajmund Mirdala
Foreign Direct Investments, as a Factor for Economic Growth in Romania pp. 72-82 Downloads
Piotr Misztal
The Role of Central Banks in Sustaining Economic Recovery and in Achieving Financial Stability pp. 83-99 Downloads
Reza Y. Siregar and Vincent Choon-Seng Lim
Inverse Vertical Ratio Put Spread Strategy and its Application in Hedging Against a Price Drop pp. 100-107 Downloads
Vincent Soltes and Omer Faraj S. Amaitiek
Breakdown of Trust in Financial Institutions in Light of the Global Financial Crisis pp. 108-114 Downloads
Natália Vašková and Vanda Vašková
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