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Journals >> Economics & Statistics >>
Journal of Finance and Investment Analysis
Journal of Finance and Investment Analysis
Volume 2, Issue 3
Impact of Calendar Effects in the Volatility of Vale Shares
Lucas Lucio Godeiro
Portfolio Optimization with Correlation Matrices: How, Why, and Why Not
Manuel Tarrazo
The Impact of Interest Rate Liberalization Announcement in China on the Market Value of Hong Kong Listed Chinese Commercial Banks
Wai-Choi Lee
Analyzing Macroeconomic Indicators of Economic Growth using Panel Data
Nihat Taș, Ali Hepșen and Emrah Önder
A Mean-reverting Model of the Short-term Interbank Interest Rate: the Moroccan Case
Abdelhak Zoglat, Elhadj Ezzahid, Elhaouari Bouziani and Younés Mouatassim
Common Financial Ratios and Value Investing in Thailand
Paiboon Sareewiwatthana
Closed End Municipal Bond Funds Discounts: An Empirical Investigation
Gregory Koutmos and Michael Tucker
Does Corporate Governance Reduce the Overinvestment of Free Cash Flow? Empirical Evidence from China
Ji-fu Cai
Influence of Adoption of IAS/IFRS on the Information Disclosed by the Companies: The case of Pension Plans in Spain
Natividad Rodríguez-Masero
52-week High Momentum Strategy: Evidence from Iranian Stock Markets
Samira Mansouri, Hojatollah Ansari and Mojtaba Dastouri
ISSN: 2241-0996 (Online)
2241-0988 (Print)
2024
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2023
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2022
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2021
Volume 10 Issue 4
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2020
Volume 9 Issue 4
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2019
Volume 8 Issue 4
Volume 8 Issue 3
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Volume 8 Issue 1
2018
Volume 7 Issue 4
Volume 7 Issue 3
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Volume 7 Issue 1
2017
Volume 6 Issue 4
Volume 6 Issue 3
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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
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Volume 4 Issue 1
2014
Volume 3 Issue 4
Volume 3 Issue 3
Volume 3 Issue 2
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2013
Volume 2 Issue 4
Volume 2 Issue 3
Volume 2 Issue 2
Volume 2 Issue 1
2012
Volume 1 Issue 4
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Volume 1 Issue 1
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