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Journals >> Economics & Statistics >>
Journal of Finance and Investment Analysis
Journal of Finance and Investment Analysis
Volume 1, Issue 1
Dynamic Speculative Behaviors and Mortgage Bubbles in the Real Estate Market of Mainland China
Sheng Wang
A Non-Parametric Approach of Heteroskedasticity Robust Estimation of Vector-Autoregressive (VAR) Models
Klaus Grobys
Post-modern portfolio theory supports diversification in an investment portfolioto measure investment’s performance
Devinaga Rasiah
DrawDown Constraints and Portfolio Optimization
Marcus Davidsson
Do Consumer Attitudes Matter in Capital Markets? A Study of Mutual Funds in Oman Market
Arshi A. Tahseen and S. Narayana
The effect of changing the status of sports clubs: From association to the company
Saliha Theiri, Ali Medabesh and Abdessatar Ati
Have bull and bear markets changed over time? Empirical evidence from the US-stock market
Klaus Grobys
Does The Use Of Outsiders’ Fund Enhance Shareholders’ Wealth? Evidence from Nigeria
J.U.J. Onwumere, Imo G. Ibe and Frank O. Ozoh
Network Centrality and Stock Market Volatility: The Impact of Communication Topologies on Prices
Oliver Hein, Michael Schwind and Markus Spiwoks
ISSN: 2241-0996 (Online)
2241-0988 (Print)
2024
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2023
Volume 12 Issue 4
Volume 12 Issue 3
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2022
Volume 11 Issue 3
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2021
Volume 10 Issue 4
Volume 10 Issue 3
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Volume 10 Issue 1
2020
Volume 9 Issue 4
Volume 9 Issue 3
Volume 9 Issue 2
Volume 9 Issue 1
2019
Volume 8 Issue 4
Volume 8 Issue 3
Volume 8 Issue 2
Volume 8 Issue 1
2018
Volume 7 Issue 4
Volume 7 Issue 3
Volume 7 Issue 2
Volume 7 Issue 1
2017
Volume 6 Issue 4
Volume 6 Issue 3
Volume 6 Issue 2
Volume 6 Issue 1
2016
Volume 5 Issue 4
Volume 5 Issue 3
Volume 5 Issue 2
Volume 5 Issue 1
2015
Volume 4 Issue 4
Volume 4 Issue 3
Volume 4 Issue 2
Volume 4 Issue 1
2014
Volume 3 Issue 4
Volume 3 Issue 3
Volume 3 Issue 2
Volume 3 Issue 1
2013
Volume 2 Issue 4
Volume 2 Issue 3
Volume 2 Issue 2
Volume 2 Issue 1
2012
Volume 1 Issue 4
Volume 1 Issue 3
Volume 1 Issue 2
Volume 1 Issue 1
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