EconPapers    
Economics at your fingertips  
 

Journal of Advanced Studies in Finance

2010 - 2018

Current editor(s): Laura GAVRILĂ (formerly Ştefănescu)

From ASERS Publishing
Bibliographic data for series maintained by Claudiu Popirlan ( this e-mail address is bad, please contact ).

Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.


Volume 3, issue 2, 2012

GLOBALIZATION FINANCIAL CRISIS AND CONTAGION TIME DYNAMIC EVIDENCE FROM FINANCIAL MARKETS OF DEVELOPING COUNTRIES pp. 131-139
Simplice Asongu
MACROECONOMIC IMPACTS OF THE INTEREST RATE SHOCKS IN THE SELECTED EURO AREA COUNTRIES pp. 140-150
J lia UR Ov
ANALYSIS ON RUNS OF DAILY RETURNS IN ISTANBUL STOCK EXCHANGE pp. 151-161
Ahmet Ensoy
OVERNIGHT STOCK PRICE REVERSALS pp. 162-170
Andrey Kudryavtsev
MARX S THEORY OF CRISIS IN THE CONTEXT OF FINANCIALIZATION ANALYTICAL INSIGHTS ON THE CURRENT CRISIS pp. 171-183
Nikos Stravelakis

Volume 3, issue 1, 2012

MANAGING SOVEREIGN CREDIT RISK IN BOND PORTFOLIOS pp. 5-26
Benjamin Bruder, Pierre Hereil and Thierry Roncalli
CHARACTERISTICS OF THE CHINESE BOURSES STOCK MARKETS pp. 27-38
Jeffrey E Jarrett and Eric Kyper
FISCAL POLICY AND NATIONAL SAVINGS IN THE CZECH REPUBLIC AND SLOVAKIA pp. 39-48
Petr Musil and Eva Vincencová
VOLATILITY INFORMATION AND STOCK MARKET CRASHES pp. 49-57
Nikolaos Antonakakis and Johann Scharler
MOODY S CREDIT RATINGS AND THE STOCK MARKET PERFORMANCE OF PORTUGUESE RATED FIRMS pp. 58-83
Luis Pacheco
THE DEVELOPMENT OF THE PORTFOLIO MANAGEMENT FOR THE UNIT INVESTMENT FUNDS pp. 84-94
Irina Sergeeva and Vera Nikiforova
THE CURRENT FINANCIAL AND ECONOMIC CRISIS EMPIRICAL AND METHODOLOGICAL ISSUES pp. 95-109
Eduardo Strachman and Jos Ricardo Fucidji

Volume 2, issue 2, 2011

FAIR REDISTRIBUTION IN FINANCIAL MARKETS A GAME THEORY COMPLETE ANALYSIS pp. 74-100
David Carfì and Francesco Musolino
MONEY STOCK PRICES AND ECONOMIC ACTIVITY IN SELECTED EUROPEAN COUNTRIES pp. 101-115
Lum r Kulh Nek
FINANCIAL INTEGRATION AND ECONOMIC GROWTH IN THE EUROPEAN TRANSITION ECONOMIES pp. 116-137
Rajmund Mirdala
INTERNATIONAL MOVEMENT OF CAPITAL DEBT FINANCES THE CASE OF SIX POST COMMUNIST ECONOMIES pp. 138-148
Manuela Raisov
AN EMPIRICAL ANALYSIS OF FUNDS ALTERNATIVE MEASURES IN THE DRAWDOWN RISK MEASURE DRM FRAMEWORK pp. 149-167
Mohammad Reza Tavakoli Baghdadabad, Fauzias Mat Nor and Izani Ibrahim
MARKETING PRICING STRATEGIES USED BY THE BRANCHES OF CHAIN STORES pp. 168-175
R bert Štefko, Jaroslava Gburová and Jana Jurková
THE INDEX EFFECT IS IT POSSIBLE TO PREDICT pp. 176-185
Tchai Tavor

Volume 2, issue 1, 2011

PORTFOLIO INVESTMENTS IN THE SELECTED EUROPEAN TRANSITION ECONOMIES pp. 4-17
udmila Bart Kova
CREDIT RISK TOOLS AN OVERVIEW pp. 18-25
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
Michael Jacobs, Jr. and Pinaki Bag
COMMODITY ETFS IN THE JAPANESE STOCK EXCHANGES pp. 47-52
Nobuyoshi Yamori
THE EURO SOVEREIGN DEBT CRISIS DETERMINANTS OF DEFAULT PROBABILITIES AND IMPLIED RATINGS IN THE CREDIT DEFAULT SWAPS MARKET AN ECONOMETRIC ANALYSIS pp. 53-68
Carlos Santos

Volume 1, issue 2, 2010

THE DETERMINANTS OF SYSTEMATIC RISK INTERNATIONAL EVIDENCE FROM THE MACRO FINANCE INTERFACE pp. 121-143
Arfaoui Mongi and Ezzeddine Abaoub
DEBT MARKET TIMING EVIDENCE FROM BANK BASED SYSTEMS pp. 144-151
Khemaies Bougatef and Jameleddine Chichti
ESTIMATING VALUE AT RISK VAR USING TIVEX POT MODELS pp. 152-170
Peter Julian Cayton, Dennis Mapa and Mary Therese A Lising
IMPACT OF GOVERNAMENTAL POLICIES IN LEGISLATION AFTER THE GLOBAL FINANCIAL CRISIS ESPECIALLY IN KOSOVO pp. 171-180
Armand Krasniqi
MACROECONOMIC DETERMINANTS OF STOCK RETURNS IN PAKISTAN THE CASE OF KARACHI STOCK EXCHANGE pp. 181-187
Nadeem Sohail and Hussain Zakir
RELIABILITY AND HETEROGENEITY OF REAL ESTATE INDEXES AND THEIR IMPACT ON THE PREDICTABILITY OF RETURNS pp. 188-196
Francesca Battaglia, Claudio Porzio and Gabriele Sampagnaro

Volume 1, issue 1, 2010

CENTRAL BANK REACTION TO PUBLIC DEFICIT AND SOUND PUBLIC FINANCE THE CASE OF THE EUROPEAN MONETARY UNION pp. 4-17
Rosaria Rita Canale
THEORY OF ARGUMENTATION IN FINANCIAL MARKETS pp. 18-22
Fernando Estrada
VOLATILITY CO MOVEMENT OF ASEAN 5 EQUITY MARKETS pp. 23-30
Swee Ling Oh, Evan Lau, Chin-Hong Puah and Shazali ABU Mansor
An Empirical Study of Exposure at Default pp. 31-59
Michael Jacobs
SOURCES OF EXCHANGE RATE DYNAMICS IN THE EUROPEAN TRANSITION ECONOMIES pp. 60-71
Rajmund Mirdala
FOREIGN DIRECT INVESTMENTS AS A FACTOR FOR ECONOMIC GROWTH IN ROMANIA pp. 71-82
Piotr Misztal
The Role of Central Banks in Sustaining Economic Recovery and in Achieving Financial Stability pp. 83-99
Reza Siregar and Vincent Lim
INVERSE VERTICAL RATIO PUT SPREAD STRATEGY AND ITS APPLICATION IN HEDGING AGAINST A PRICE DROP pp. 100-107
Vincent Šoltés and Omer Faraj S Amaitiek
BREAKDOWN OF TRUST IN FINANCIAL INSTITUTIONS IN LIGHT OF THE GLOBAL FINANCIAL CRISIS pp. 108-117
Nat lia Vašková and Vanda Vašková
Page updated 2025-04-04