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Journal of Finance and Investment Analysis

2012 - 2023

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Volume 12, issue 3, 2023

Mergers and Acquisitions of Cooperative Banks. Before and After a Takeover. A Financial Analysis pp. 1 Downloads
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 Downloads
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 Downloads
Michele Anelli and Michele Patanè
Modeling the Time Variation in Factor Exposures pp. 2 Downloads
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 Downloads
Aliano Mauro, Boido Claudio and Galloppo Giuseppe

Volume 12, issue 1, 2023

Comparing Growth Models with Other Investment Methods pp. 1 Downloads
Guizhou Wang and Kjell Hausken
Business Ethics Covid and War in the Center of Lignite Production pp. 2 Downloads
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 Downloads
Spiliopoulos Odysseas and Gkoni Panayota

Volume 11, issue 3, 2022

ESG Scores - Is it the new way to build a European portfolio? pp. 1 Downloads
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 Downloads
Gianluca Vagnani and Francesco Mazzurco
The end of the Equity Premium Puzzle? An analysis of the European Financial Markets pp. 2 Downloads
Damonte Marco and Cardullo Gabriele

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 Downloads
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 Downloads
Rosa Ferrentino and Luca Vota

Volume 10, issue 4, 2021

Failure of Lehman Brothers pp. 1 Downloads
Mahmoud Mofid Abdul Karim
Fraud Examination of the Enron Corp Company pp. 2 Downloads
Mahmoud Mofid Abdul Karim
Capital Inflows and Economic Growth in Selected COMESA Member Countries pp. 3 Downloads
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 Downloads
Chaouki Mouelhi
Effect of Portfolio Management Strategies on the Returns of Mutual Funds in Kenya pp. 2 Downloads
Kileta Kiluta and Onsomu Zipporah

Volume 10, issue 2, 2021

Economic Consequences of Section Transfers in Japan: Change in Investor Base pp. 1 Downloads
Abo Rodrigue Majoie
Out-of-sample performance of the Black-Litterman model pp. 2 Downloads
Frieder Meyer-Bullerdiek
Fundamentals-weighting vs. Capitalization-weighting: An Empirical Comparison pp. 3 Downloads
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 Downloads
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 Downloads
Kiprotich Charles and Onsomu Zipporah
The Relationship Between Corporate Governance Practices and Financial Performance: Evidence from Amman Stock Exchange pp. 4 Downloads
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 Downloads
Humphrey Mokaya, Ronald Chogi and Winnie Nyamute

Volume 9, issue 3, 2020

Does Active Management Beat the Market? Evidence from Italy pp. 1 Downloads
Nicolò Zorich and Gabriele Cardullo
The Magic of Figures: Anchoring and Interferences pp. 2 Downloads
Markus Spiwoks and Zulia Gubaydullina
Mediating Effect of Agency Cost on the Relationship between Ownership Structure and Firm Value pp. 3 Downloads
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 Downloads
Christos N. Christodoulou-Volos
Working Capital and Earnings Management among Manufacturing Firms: A Review of Literature pp. 5 Downloads
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 Downloads
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 Downloads
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 Downloads
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 Downloads
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 Downloads
Kipsafari Toromo and John Njangiru Mungai (PhD)
Voluntary Disclosure of Financial and Capital Market Data and Earnings Management: Empirical Evidence from Uganda pp. 3 Downloads
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 Downloads
Rui de S. Camposinhos and Maria do Rosário Oliveira
Cyberterrorism and its Dramatic Impact on Insurance and Security Companies pp. 2 Downloads
Joshua Afshani

Volume 8, issue 3, 2019

An Econometric Analysis on Influential Power Across Global Stock Markets pp. 1 Downloads
Huaibing Yu
Window Theory for Forex pp. 2 Downloads
Carl C. Scibetta
The start-up “system†in Italy: support activities of the operators through an empirical analysis pp. 3 Downloads
Francesco Minnetti
Effect of foreign equity flows on stock market volatility in Kenya Empirical evidence at Nairobi securities exchange pp. 5 Downloads
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 Downloads
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 Downloads
Mohamed Sadok Gassouma
Intervening Effect of Savings Mobilization on the Relationship between Bancassurance and Financial Performance of Commercial Banks in Kenya pp. 4 Downloads
Isinta, H. M, Aduda, J, Magutu and P
Anatomy of Chinese Futures Markets pp. 5 Downloads
Ahmet Goncu and Yurun Yang

Volume 8, issue 1, 2019

Fixed and Dynamic Asset Allocation in the Accumulation Phase pp. 1 Downloads
P. Hagelstein, I. Lackner, J. Otto, A. Perona and R. Piziak
Long-run Cointegration and Market Equilibrium in Large Cap Stocks pp. 2 Downloads
Huaibing Yu
Modeling the Risk Dynamics of Hedge Funds pp. 3 Downloads
Johan Knif, Dimitrios Koutmos and Gregory Koutmos
The dynamic relationship between stock index and exchange rate: Evidence for Tunis pp. 4 Downloads
Moussa Wajdi
On the co-movements among Stock prices and exchange rates cointegration: a VAR/VECM approach pp. 5 Downloads
Moussa Wajdi
Page updated 2023-09-23