Journal of Finance and Investment Analysis
2012 - 2025
From SCIENPRESS Ltd Bibliographic data for series maintained by Eleftherios Spyromitros-Xioufis (). Access Statistics for this journal.
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Volume 14, issue 1, 2025
- Does Investment Incentives Mediate the Relationship Between Government Revenue Management Practices and Financial Sustainability? Evidence from Oil Resources in South Sudan pp. 1

- Matiok Santino Akuei, Joshua Wanjare and Charles Wafula
Volume 13, issue 4, 2024
- Financial Markets, Efficiency, and Credit Intermediation pp. 1

- Fabio Pizzutilo
- Stochastic Inflation and the Term Structure of Interest Rates: a Simple Diffusion Model pp. 2

- Cristiano Baldassari, Massimiliano Meschini and Paola Nascenzi
Volume 13, issue 3, 2024
- The Predictive Power of the Yield Spread Under the Veil of Time pp. 1

- Paolo Zagaglia
Volume 13, issue 2, 2024
- Does Funding Structure Mediate the Relationship Between Corporate Governance and Financial Performance? Evidence from Deposit Taking Sacco's in Kenya pp. 1

- Nixon Mugilwa, Josiah Aduda, Kennedy Okiro and Patersson Magutu
Volume 13, issue 1, 2024
- Description of A New Method for Measuring Directional Risk in Investment Portfolios pp. 1

- Cliff Holmes
Volume 12, issue 4, 2023
- An Empirical Study on Chinese Futures Market Based on Bollinger Bands Strategy and R pp. 1

- Zhang Enguang and Ma He
Volume 12, issue 3, 2023
- Mergers and Acquisitions of Cooperative Banks. Before and After a Takeover. A Financial Analysis pp. 1

- Kyriazopoulos Georgios, Emiljan Mustaqe and Petropoulos Dimitrios
- Stock Selection Using Roy Criteria to Construct a Portfolio and the Effects of Variables on Portfolio Return pp. 2

- Adler Haymans Manurung, Fadh Fauzi Hibatullah and Jadongan Sijabat
Volume 12, issue 2, 2023
- The “Perpetually†Efficient Stock Market Nonsense: The Gaslighting Effects pp. 1

- Michele Anelli and Michele Patanè
- Modeling the Time Variation in Factor Exposures pp. 2

- Johan Knif, James W. Kolari, Gregory Koutmos and Seppo Pynonen
- The Impact of the Financial and the Health Crisis on Listed Hotel Stocks pp. 3

- Aliano Mauro, Boido Claudio and Galloppo Giuseppe
Volume 12, issue 1, 2023
- Comparing Growth Models with Other Investment Methods pp. 1

- Guizhou Wang and Kjell Hausken
- Business Ethics Covid and War in the Center of Lignite Production pp. 2

- Metsiou Anastasia, Broni Georgia, Papachristou Eleni and Kiki Magdalini
- The Common Commercial Policy as a Legal Instrument of Confirmation of the European Union International Identity pp. 3

- Spiliopoulos Odysseas and Gkoni Panayota
Volume 11, issue 3, 2022
- ESG Scores - Is it the new way to build a European portfolio? pp. 1

- Claudio Boido, Paolo Ceccherini and Alessia D'Imperio
Volume 11, issue 2, 2022
- Incidental Negative Life Events and the Disposition Effect at the Individual Level pp. 1

- Gianluca Vagnani and Francesco Mazzurco
- The end of the Equity Premium Puzzle? An analysis of the European Financial Markets pp. 2

- Damonte Marco and Gabriele Cardullo
Volume 11, issue 1, 2022
- The Role of CDS Market in the Price Discovery Process of the “PIIGS†Countries Sovereign Credit Risk During the Recent Decade of Monetary Easing pp. 1

- Michele Anelli and Michele Patanè
- A Mathematical Model for the Pricing of Derivative Financial Products: the Role of the Banking Supervision and of the Model Risk pp. 2

- Rosa Ferrentino and Luca Vota
Volume 10, issue 4, 2021
- Failure of Lehman Brothers pp. 1

- Mahmoud Mofid Abdul Karim
- Fraud Examination of the Enron Corp Company pp. 2

- Mahmoud Mofid Abdul Karim
- Capital Inflows and Economic Growth in Selected COMESA Member Countries pp. 3

- Lucas Njoroge
Volume 10, issue 3, 2021
- Does Cash Flows Useful in Predicting the Company’s Financial Health? Empirical Validation by Panel Cointegration Tests pp. 1

- Chaouki Mouelhi
- Effect of Portfolio Management Strategies on the Returns of Mutual Funds in Kenya pp. 2

- Kileta Kiluta and Onsomu Zipporah
Volume 10, issue 2, 2021
- Economic Consequences of Section Transfers in Japan: Change in Investor Base pp. 1

- Abo Rodrigue Majoie
- Out-of-sample performance of the Black-Litterman model pp. 2

- Frieder Meyer-Bullerdiek
- Fundamentals-weighting vs. Capitalization-weighting: An Empirical Comparison pp. 3

- Guido Abate, Tommaso Bonafini and Pierpaolo Ferrari
Volume 10, issue 1, 2021
- Investment Incentives as a Mediator in the Relationship between Macroeconomic Variables and Growth of Private Domestic Investment in Kenya pp. 1

- Monica Wanjiru Kinyanjui, Willy Muturi and Agnes Njeru
- Financial Engineering and Financial Performance of Deposit Taking Savings and Credit Co-operative Societies in Kenya pp. 2

- Kiprotich Charles and Onsomu Zipporah
- The Relationship Between Corporate Governance Practices and Financial Performance: Evidence from Amman Stock Exchange pp. 4

- Hussein Ahmad Bataineh, Sulaiman Salim Al Harthy and Raqiya Ali Al Balushi
Volume 9, issue 4, 2020
- Effects of Asset Allocation on Financial Performance of Unit Trust Schemes in Kenya pp. 1

- Humphrey Mokaya, Ronald Chogi and Winnie Nyamute
Volume 9, issue 3, 2020
- Does Active Management Beat the Market? Evidence from Italy pp. 1

- Nicolò Zorich and Gabriele Cardullo
- The Magic of Figures: Anchoring and Interferences pp. 2

- Markus Spiwoks and Zulia Gubaydullina
- Mediating Effect of Agency Cost on the Relationship between Ownership Structure and Firm Value pp. 3

- Henry Kimathi Mukaria, Mirie Mwangi, Duncan Elly Ochieng and Kennedy Okiro
- Allowance for Doubtful Accounts and Earning Management: An Empirical Study of Chinese Listed Companies pp. 4

- Christos N. Christodoulou-Volos
- Working Capital and Earnings Management among Manufacturing Firms: A Review of Literature pp. 5

- Josiah Aduda and Morgan Ongoro
Volume 9, issue 2, 2020
- The Age of Cheap Money and Passive Investing: Are Pro Forma Earnings Value Relevant? pp. 1

- Florian Meier
- An Empirical Study on the Moderating Effect of Public Governance on the Relationship Between Fiscal Decentralization and Performance of County Governments in Kenya pp. 2

- E. P. Mbau, C. M. Iraya, M. Mirie and J. M. Njihia
- The Efficient Frontier and International Portfolio Diversification in Taxable and Tax-Privileged Accounts pp. 3

- J. Davis, P. Hagelstein, I. Lackner and R. Piziak
Volume 9, issue 1, 2020
- Moderating Effect of Board Gender Diversity on the Relationship between Financial Structure and Operating Efficiency pp. 1

- Kalundu Kimanzi, Prof. Mirie Mwangi, Dr. Duncan Elly Ochieng and Prof. Josephat Lishenga
- Micro credit cost and Financial performance of micro, small and medium enterprises in Baringo county, Kenya pp. 2

- Kipsafari Toromo and John Njangiru Mungai (PhD)
- Voluntary Disclosure of Financial and Capital Market Data and Earnings Management: Empirical Evidence from Uganda pp. 3

- Robert O. Etengu, Dr. Tobias O. Olweny and Dr. Josephat O. Oluoch
Volume 8, issue 4, 2019
- A Dynamic Approach to the Cost Method in Real Estate Appraisal pp. 1

- Rui de S. Camposinhos and Maria do Rosário Oliveira
- Cyberterrorism and its Dramatic Impact on Insurance and Security Companies pp. 2

- Joshua Afshani
Volume 8, issue 3, 2019
- An Econometric Analysis on Influential Power Across Global Stock Markets pp. 1

- Huaibing Yu
- Window Theory for Forex pp. 2

- Carl C. Scibetta
- The start-up “system†in Italy: support activities of the operators through an empirical analysis pp. 3

- Francesco Minnetti
- Effect of foreign equity flows on stock market volatility in Kenya Empirical evidence at Nairobi securities exchange pp. 5

- Isaac L. Ochieng’, Tobias O. Olweny, Oluoch J. Oluoch and Gordon O. Ochere
Volume 8, issue 2, 2019
- The Influence of Foreign Exchange Volatility, Interest Rates on the Stock Performance of Uganda Securities Exchange pp. 1

- Godfrey Akileng, Eric Nzibonera and Micheal Mutegana
- Abnormal accounting accruals Management by market disciplinary approach: Evidence in Tunisian banks before and after the Arab Revolution pp. 2

- Mohamed Sadok Gassouma
- Intervening Effect of Savings Mobilization on the Relationship between Bancassurance and Financial Performance of Commercial Banks in Kenya pp. 4

- Isinta, H. M, Aduda, J, Magutu and P
- Anatomy of Chinese Futures Markets pp. 5

- Ahmet Goncu and Yurun Yang
Volume 8, issue 1, 2019
- Fixed and Dynamic Asset Allocation in the Accumulation Phase pp. 1

- P. Hagelstein, I. Lackner, J. Otto, A. Perona and R. Piziak
- Long-run Cointegration and Market Equilibrium in Large Cap Stocks pp. 2

- Huaibing Yu
- Modeling the Risk Dynamics of Hedge Funds pp. 3

- Johan Knif, Dimitrios Koutmos and Gregory Koutmos
- The dynamic relationship between stock index and exchange rate: Evidence for Tunis pp. 4

- Moussa Wajdi
- On the co-movements among Stock prices and exchange rates cointegration: a VAR/VECM approach pp. 5

- Moussa Wajdi
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