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 7, issue 4, 2018
- The occurrence and importance of pension fund managers’ investment beliefs A web survey and critical incident study pp. 1

- Jansson, M., Trönnberg, C-C., Hemlin and S.
- Effect of financial literacy on portfolio diversification at the Nairobi securities exchange market, Kenya pp. 3

- Eveline Mwangi and Zipporah Onsomu
- Analysis of ore transportation: A financial approach using the Black & Scholes method in real options pp. 4

- Rodrigo R. de Freitas, Diego M.E. Gonçalves, Thiago de S.C.P. Mayrink and Márcio de A. D’agosto
Volume 7, issue 3, 2018
- Determinants and Behavior of Dividend Policy in Pakistani Listed Companies pp. 1

- Raheel Gohar and Mohammed Shahwar Alam
- Portfolio insurance strategies in a low interest rate environment: A simulation based study pp. 2

- Ariful Hoque, Robin Kämmer and Frieder Meyer-Bullerdiek
- Determinants of performance of securities exchanges in East Africa pp. 3

- Godfrey Akileng, Abbot Anthony Ogwang and Charles Ssendyona
Volume 7, issue 2, 2018
- Real estate and matricial analysis pp. 1

- Rui de S. Camposinhos and M. Rosário Oliveira
- Sectoral credit diversification, bank performance and monitoring effectiveness; a cross-country analysis of east African banking industries pp. 2

- Jonathan Mwau Mulwa
- An Empirical Investigation of the Relationship Between Pension Fund Reforms and Financial Sector Development in Botswana pp. 3

- Bofelo Warona Mokgadi and Simangaliso Biza-Khupe
- The Intervening Effect of Internal Controls on the Relationship Between Budgeting Process and Performance of Churches in Kenya pp. 4

- Norman Gachoka, Josiah Aduda, Erasmus Kaijage and Kennedy Okiro
- The Moderating Effect of Organizational Characteristics on the Relationship Between Budgeting Process and Performance of Churches in Kenya pp. 5

- Norman Gachoka, Josiah Aduda, Erasmus Kaijage and Kennedy Okiro
Volume 7, issue 1, 2018
- Are Commodity Hedge Funds interesting for institutional investors? pp. 1

- Gerhard Lechner and Rupert Beinhauer
- The establishment of the European Banking Union as a decisive step towards the completion of the Economic and Monetary Union The latest developments pp. 2

- Spiliopoulos O.
- An Empirical Investigation of the Relationship between Board Structure and Performance of Financial Institutions in Kenya pp. 3

- Nebert Mandala, E. Kaijage, J. Aduda and C. Iraya
- The Effect of Board Structure and CEO Tenure on Performance of Financial Institutions in Kenya pp. 4

- Nebert Mandala, E. Kaijage, J. Aduda and C. Iraya
Volume 6, issue 4, 2017
- Empirical Determinants of the Non-Performing Loans in the Cypriot Banking System pp. 1

- Christos Christodoulou-Volos and Andreas Hadjixenophontos
- The Mediating Effect of Ease of Doing Business on the Relationship between Economic Integration and Foreign Direct Investment in the East African Community pp. 2

- W.M. Muli and J.O. Aduda
- The moderating role of firm characteristics on the relationship between free cash flows and financial performance of firms listed at the Nairobi securities exchange pp. 3

- Evans Agala Mutende, M. Mwangi, J.M. Njihia and D.E. Ochieng
- Board Composition and Financial Distress of Listed Firms in Kenya. An Empirical Analysis pp. 4

- Kennedy Ombaba and David Kosgei
Volume 6, issue 3, 2017
- On Valuing European Option: VAR-COVAR Approach pp. 1

- Ahmad M. Talafha and Emmanuel Thompson
- Deterministic discounting of risky cash-flows pp. 2

- Carlo Mari and Marcella Marra
- Poverty in Greece using Small Area Estimation Methods pp. 3

- Stefanos G. Giakoumatos and Malapani Eleni
- The Moderating Effect of Economic Growth on the Relationship between Economic Integration and Foreign Direct Investment in the East African Community pp. 4

- W.M.Muli, J.O. Aduda, J.L. Lishenga and D.O. Abala
Volume 6, issue 2, 2017
- Rebalancing and Diversification Return – Evidence from the German Stock Market pp. 1

- Frieder Meyer-Bullerdiek
- Merger Arbitrage in Germany pp. 2

- Ian McDermott and Mark Mulcahy
- Microfinance in Morocco: State of art pp. 3

- Bensaid Amrani Mohamed, Faris Hamza and El Hachloufi Mostapha
Volume 6, issue 1, 2017
- Effects of Fiscal and Monetary Policies on the Nigerian Manufacturering Sector pp. 1

- Agwu Okoro, Augustine Ujunwa, Ezike Ifeoma Betty, Ikenna Franklin Chijioke and Angela Ifeanyi Ukemenam
- An Analysis of Factors Affecting the Performance of Insurance Companies in Zimbabwe pp. 2

- Batsirai Winmore Mazviona, Mbakisi Dube and Tendai Sakahuhwa
Volume 5, issue 4, 2016
- The Weighted Average Cost of Capital as a Marginal Criterion pp. 1

- Nicos Zafiris
- The Determinants of Corporate Dividend Policy: Evidence from Palestine pp. 2

- Amjad Hassonn, Huy Tran and Hao Quach
Volume 5, issue 3, 2016
- Fama Decomposition Analysis of Selected Companies of Bombay Stock Exchange in India pp. 1

- Dhanraj Sharma
- Explaining Stock Returns in Nepal: Application of Single and Multi-factor models pp. 3

- Dipesh Karki and Binam Ghimire
Volume 5, issue 2, 2016
- Loss Given Default: Estimating by analyzing the distribution of credit assets and Validation pp. 1

- Mustapha Ammari and Ghizlane Lakhnati
- Profit value of the co-operative Banks in Greece pp. 2

- Petropoulos P. Dimitrios and Kyriazopoulos V. Georgios
- Commercial Bank Diversification and Financial Performance: The Moderating Role of Risk pp. 3

- Jonathan Mwau Mulwa and David Kosgei
Volume 5, issue 1, 2016
- Systematic risk determinants of stock returns after financial crisis: Evidence from United Kingdom pp. 1

- Vu Trinh, Dipesh Karki and Binam Ghimire
- Empirical Evidence on the Relationship between Stock market returns and Macroeconomic variables: Panel VAR approach pp. 2

- Riadh El Abed and Sahar Boukadida
- The Attitudinal Determinants of Adopting the Herd Behavior: An Applied Study on the Egyptian Exchange pp. 3

- Amir Ali Shusha and Mahmoud Touny
- Short-Term Interest Rate Model: Calibration of the Vasicek Process to Ghana’s Treasury Rate pp. 4

- Emmanuel Thompson, Gideon Mensah Engmann and Austin Butorac
Volume 4, issue 4, 2015
- Impact of Economic Reforms on Foreign Direct Investment (FDI) in Nigeria (1980-2012) pp. 1

- Olatunji, Toyin E., Tella and Adeniran Rahmon
- The Relationship between the Investment in Current Assets and Profitability & Liquidity pp. 2

- Anas Ali Al-Qudah and Mohammad Abdel Mohsen Al-Afeef
- A Study of the Allocative Efficiency of Quoted Manufacturing Companies in Nigeria pp. 3

- Ifuero Osad Osamwonyi and Kennedy Imafidon
- Investor Sentiment and Chinese: A-Share Stock Market Returns pp. 4

- Yiwei Zhao, Zheng Yang and Xiaolin Qian
- Real Estate Investment Trusts versus Direct Real Estate Investments: A Portfolio Optimization Approach pp. 5

- Felista Mutahi and Ferdinand Othieno
- An Alternative Mathematical Interpretation and Generalization of the Capital Growth Criterion pp. 6

- Dennis Morgan
Volume 4, issue 3, 2015
- Constraints to Capital Market Growth in African Economies: The Case of Nigeria pp. 1

- Kehinde Adekunle Adetiloye, Abiola Ayopo Babajide and Ngozi Favour Ugwu
- The Dynamic Linkages between Exchange Rates and Stock Prices: Evidence from Emerging Markets pp. 2

- Usman M. Umer, Güven Sevil and Serap Kamişli
- Monte Carlo Optimal Distribution of Simulation Dates pp. 3

- Giulio Carlone
Volume 4, issue 2, 2015
- Correlation Neglect, Naïve Diversification, and Irrelevant Information as Stumbling Blocks for Optimal Diversification pp. 1

- Zulia Gubaydullina and Markus Spiwoks
- Basel II Capital Requirements and Bank Behaviour: Empirical Evidence from Brazilian Banks pp. 2

- Hiep Luu
- Comparison of the Short Term Interest Rate Models: Parametric versus Non parametric Approach pp. 3

- Mouna Ben Salah
- Capital Market Efficiency: The Nigerian Experience pp. 4

- Barine Michael Nwidobie
- A Comparison of Extreme Value Theory with Heavy - tailed Distributions in Modeling Daily VAR pp. 5

- Emrah Altun and Hüseyin Tatlidil
- Democracy, Authoritarianism and the Inflow of Foreign Direct Investments: A Critical Examination of a Debate and its Associated Consequences for Social Science Research pp. 6

- Salami and Tomiwa Adebayo
Volume 4, issue 1, 2015
- Second Dimension Risk – A Reduced Form Analysis of European Sovereigns’ Credit Spreads pp. 1

- Jonas Vogt
- How Many Days Equal A Year? A Note on the Mean-Variance Model pp. 2

- Christine A. Panasian and George Ye
- Default Prediction Models a Comparison between Market Based Models and Accounting Based: Case of the Zimbabwe Stock Exchange 2010-2013 pp. 3

- Jacob Muvingi, Dingilizwe Nkomo, Peter Mazuruse and Patricia Mapungwana
- Is Skewness Simply Sufficient?: Evidence from Monte Carlo Simulation on Asymmetric Asset Returns pp. 4

- Huijian Dong and Wyatt J. Swayngim
- Value Creation in Strategic M&A: How to make your Growth Strategy Value-creating? pp. 5

- Veronika Vinogradova
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