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Articles from Journal of Financial Management & Analysis (July 1, 2015)

1-10 out of 10 article(s)
Title Author Type Words
Bank portfolio risk and interest rate spread of risky loans : methodological analysis. Yu, Hua Report 5217
Corporate governance and agency behaviour: methodological analysis of the 'announcement effect of corporate governance failures' on Nigerian stock market prices. Idolor, Eseoghene Joseph; Braimah, Abdulganiyu Report 8070
Discrete wavelet transform-based prediction of stock index: a study on national stock exchange fifty index. Jothimani, Dhanya; Shankar, Ravi; Yadav, Surendra S. Report 7040
Do macro-economic factors influence financial management decision making? The Israeli economy in perspective. Shnaider, Eli; Haruvy, Nava; Yosef, Arthur Report 6153
Financial management indicators to aid decision making (statistics). 7187
Foreword. Swamy, M.R.K. 2405
How foreign exchange misallocation leads to business recession: application of Wald-Wolfowitz runs test. Nwankwo, Abraham E. Report 2518
Impact of hike in U.S. H-1B/L-1 visa fees for technically-skilled employees of foreign companies: the U.S. administration step towards indigenization with emphasis on equal pay for equal work is commendable. Swamy, M.R. Kumara Report 5679
Investment in innovation and stock price behavior--lessons from the U.S. financial crisis: research findings. Zhang, Shu Report 12454
Role of financial services and real estate management--towards a new value chain: exploratory research findings. Tardivo, Giuseppe; Battisti, Enrico; Riorda, Maria Report 6333

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