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  • Vol.1,No.1(2010) (Editorial)

    Editorial

  • Vol.1,No.1(2010) (Articles)

    Analysis of Potential Impacts of Inclusion of Locally Supplied Services into Reduced VAT Rate on the Suppliers of these Services

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  • Vol.1,No.1(2010) (Articles)

    Comparing Variance/Covariance and Historical Simulation in the Context of the Financial Crisis – Do Extreme Movements Have an Influence onto Portfolio Selection?

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  • Vol.1,No.1(2010) (Book Reviews)

    The Development of the Insurance Market in the Countries of the Visegrád Four in 1995–2007

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  • Vol.1,No.1(2010) (Book Reviews)

    Credit Risk Management: Basic Concepts: Financial Risk Components, Rating Analysis, Models, Economic and Regulatory Capital

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  • Vol.2,No.1(2011) (Editorial)

    Editorial

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  • Vol.2,No.1(2011) (Articles)

    Corporate Evaluation in Banks - Development of a New Evaluation Model with the Special Focus on the Separation of the Value of Maturity Transformation

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  • Vol.2,No.1(2011) (Articles)

    Basel II Approaches for the Calculation of the Regulatory Capital for Operational Risk

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  • Vol.2,No.1(2011) (Experts' Opinions)

    The Use of Internal Financial Reporting Standard for Small and Medium Sized Entities

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  • Vol.2,No.1(2011) (Book Reviews)

    The Management of Credit Financing and Credit Trades

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  • Vol.2,No.2(2011) (Editorial)

    Editorial

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  • Vol.2,No.2(2011) (Articles)

    Development of Investment Activities of Commercial Insurance Companies in Slovak, Czech and Austrian Insurance Markets in 2004-2009

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  • Vol.2,No.2(2011) (Experts' Opinions)

    Short Introduction of Short Selling

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  • Vol.2,No.2(2011) (Book Reviews)

    Correlations in Extreme Situations – an Empirical Analysis in the German Financial Market with the Special Focus on the Irrationality of Markets

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  • Vol.2,No.2(2011) (Book Reviews)

    Treasury Management in Medium-Sized Banks

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  • Vol.2,No.3(2011) (Editorial)

    Editorial

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  • Vol.2,No.3(2011) (Articles)

    Basel III Global Liquidity Standards: Critical Discussion and Impact onto the European Banking Sector

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  • Vol.2,No.3(2011) (Articles)

    The Impact of Financial Crisis on the Predictability of the Stock Markets of PIGS Countries – Comparative Study of Prediction Accuracy of Technical Analysis and Neural Networks

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  • Vol.2,No.3(2011) (Articles)

    Methods of Bank Valuation: A Critical Overview

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  • Vol.3,No.1(2012) (Editorial)

    Editorial

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  • Vol.3,No.1(2012) (Articles)

    Competition and Risk-taking in Banking Industry

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  • Vol.3,No.1(2012) (Articles)

    Selected Aspects of the Copenhagen Economics Study on Reduced VAT Rates in the Current Conditions of the Moravian-Silesian Region

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  • Vol.3,No.2(2012) (Editorial)

    Editorial

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  • Vol.3,No.2(2012) (Articles)

    Statistical arbitrage and FX exposure with South American ADRs listed on the NYSE

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  • Vol.3,No.2(2012) (Articles)

    EBITDA/EBIT and cash flow based ICRs: A comparative approach in the agro-food system in Italy

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  • Vol.3,No.2(2012) (Articles)

    Logistic controlling as a possible way to prosperity in the Czech Republic

  • Vol.3,No.2(2012) (Articles)

    Corporate governance in banks: Problems and remedies

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  • Vol.3,No.3(2012) (Editorial)

    Editorial

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  • Vol.3,No.3(2012) (Articles)

    "What If" Analyses in Investment Decision Making

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  • Vol.3,No.3(2012) (Articles)

    Sainsbury’s vs. Morrisons - An Investment Decision Based on Financial Analysis

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  • Vol.3,No.3(2012) (Articles)

    Optimal Portfolio Selection in Ex Ante Stock Price Bubble and Furthermore Bubble Burst Scenario from Dhaka Stock Exchange with Relevance to Sharpe’s Single Index Model

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  • Vol.3,No.3(2012) (Book Reviews)

    Capital Structure Policy of Stock-Listed German Companies

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  • Vol.4,No.1(2013) (Editorial)

    Editorial

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  • Vol.4,No.1(2013) (Articles)

    Risk Premia in the Czech Money Market

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  • Vol.4,No.1(2013) (Articles)

    Determinants which Affect Liquid Asset Ratio of Czech and Slovak Commercial Banks

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  • Vol.4,No.2(2013) (Editorial)

    Editorial

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  • Vol.4,No.2(2013) (Articles)

    Influence of Terrorist Activities on Financial Markets: Evidence from KSE

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  • Vol.4,No.2(2013) (Articles)

    DMFCA Model as a Possible Way to Detect Creative Accounting and Accounting Fraud in an Enterprise

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  • Vol.4,No.2(2013) (Articles)

    The Relationship between Intellectual Capital and Income Smoothing and Stock Returns

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  • Vol.4,No.2(2013) (Articles)

    Using Monte Carlo for the Assessment of a Brokered Bank Deposit Business

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  • Vol.4,No.3(2013) (Editorial)

    Editorial

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  • Vol.4,No.3(2013) (Articles)

    On the Differential Market Reaction to Dividend Announcement: Evidence from an Emerging Equity Market

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  • Vol.4,No.3(2013) (Articles)

    Decoupling Hypothesis and the Financial Crisis

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  • Vol.5,No.1(2014) (Editorial)

    Editorial

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  • Vol.5,No.1(2014) (Articles)

    Liquidity Risk Regulation

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  • Vol.5,No.1(2014) (Articles)

    Factors Affecting Taxpayers’ Decisions in Saving Tax by Investing in Tax Saving Bonds: A Study in U.P. State, India

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  • Vol.5,No.1(2014) (Articles)

    Deposit Money Banks and Economic Growth in Nigeria

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  • Vol.5,No.1(2014) (Articles)

    The Choice of Portfolio Based on the Theory of Cooperative Games and the Zeuthen’s and Harsany’s Method

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  • Vol.5,No.1(2014) (Book Reviews)

    Selected Areas of Insurance Industry and Competitiveness of Commercial Insurance Companies

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  • Vol.5,No.2(2014) (Editorial)

    Editorial

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  • Vol.5,No.2(2014) (Articles)

    An Insight into SBM Efficiency of Slovak Commercial Banks

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  • Vol.5,No.2(2014) (Articles)

    Concentration of Banking Sector and Loan Markups in Short Term: An Example from Poland

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  • Vol.5,No.2(2014) (Articles)

    Commodity Indices – The End of an Era?

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  • Vol.5,No.3(2014) (Editorial)

    Editorial

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  • Vol.5,No.3(2014) (Articles)

    The Effects of Irreversibility and Uncertainty on Business Investments: A New View of Investment

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  • Vol.5,No.3(2014) (Articles)

    Modeling Financial Surplus of the Housing Projects Developer

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  • Vol.5,No.3(2014) (Book Reviews)

    The Process of Company Mergers in the Context of Legislation, Accounting and Taxes

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  • Vol.6,No.1(2015) (Editorial)

    Editorial

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  • Vol.6,No.1(2015) (Articles)

    Modeling the Size of the Mutual Fund Industry in Countries of Central and Eastern Europe

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  • Vol.6,No.1(2015) (Articles)

    European Banking Network in Light of the Single Supervisory Mechanism from the Network Analysis Perspective

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  • Vol.6,No.2(2015) (Editorial)

    Editorial

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  • Vol.6,No.2(2015) (Articles)

    Application of GARCH-Copula Model in Portfolio Optimization

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  • Vol.6,No.2(2015) (Articles)

    Cross Sectional Analysis of Short Sale Determinants on U.S. Blue Chips

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  • Vol.6,No.3(2015) (Articles)

    Fields: On the Visibility of Flows in Digital Business

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  • Vol.6,No.3(2015) (Articles)

    Evaluation of the VIG Insurance Group’s Insurance Portfolio in the Czech Republic

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  • Vol.7,No.1(2016) (Articles)

    Traditional and Alternative Risk: Application to Hedge Fund Returns

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  • Vol.7,No.1(2016) (Articles)

    Comparison of Valuation of Financial Instruments according to the International and Czech Accounting Standards in the Context of Performance Reporting

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  • Vol.7,No.1(2016) (Articles)

    Designing and Applying a Nonparametric Option Valuation Model

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  • Vol.7,No.2(2016) (Articles)

    Determining Accuracy of IN05 Index and its Improvement

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  • Vol.7,No.2(2016) (Articles)

    Evaluation of Bancassurance Functioning in Selected Countries of the Financial Groups Erste Group Bank and UniCredit Group

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  • Vol.7,No.2(2016) (Articles)

    EVA and Stock Returns: Are They Correlated?

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  • Vol.7,No.3(2016) (Articles)

    Application of the Nonlinear Oscillations Theory to the Study of Non-equilibrium Financial Market

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  • Vol.7,No.3(2016) (Articles)

    Stock Market Development and Economic Growth: An Empirical Analysis of Zimbabwe (1989-2014)

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  • Vol.7,No.3(2016) (Articles)

    Cointegration Approach to the Estimation of the Long-Run Relations between Exchange Rates and Trade Balances in Visegrad Countries

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  • Vol.7,No.3(2016) (Book Reviews)

    Risk Capacity, 2nd Edition: Processes, Approaches and Implementation of Risks in the Context of SREP and MaRisk 6.0

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  • Vol.8,No.1(2017) (Articles)

    The Efficiency of Selected Banking Sectors in the European Union

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  • Vol.8,No.1(2017) (Articles)

    The Return Variability and Dispersion: Evidence from Mutual Funds in Post-Transition Countries

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  • Vol.8,No.1(2017) (Articles)

    How Big Is the Prize Money Gap? - Analysis of Prize Money in 2016 Grand Slam Tournaments

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  • Vol.8,No.1(2017) (Articles)

    The Connection between the Exchange Rate and the Balance of Payments Accounts in the Czech Republic: An Econometric Approach

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  • Vol.8,No.2(2017) (Articles)

    The Impacts of Brexit on European Equity Markets

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  • Vol.8,No.2(2017) (Articles)

    Capital Structure Modelling and Analysis of its Impact on Business Performance

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  • Vol.8,No.2(2017) (Articles)

    Exchange Rate Pass-Through in Turkey before and after the Adoption of Inflation Targeting Regime

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  • Vol.8,No.2(2017) (Articles)

    The Level of Integration of Bancassurance Products of Financial Groups Erste Group Bank, UniCredit Group and KBC Group in Selected Countries

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  • Vol.8,No.2(2017) (Articles)

    Banking Rating Systems for IRB: Comparison of Three Systems from German-speaking Environment

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  • Vol.9,No.1(2018) (Articles)

    Causality in the Polish Housing Market: Evidence from Biggest Cities

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  • Vol.9,No.1(2018) (Articles)

    Stock Prices and the Rate of Return Analysis: The Case of Warsaw Stock Exchange

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  • Vol.9,No.1(2018) (Articles)

    Comparative Analysis of Credit Risk Models in Relation to SME Segment

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  • Vol.9,No.1(2018) (Articles)

    Empirical Testing of the Response of Czech Stock Market to Downgrades of Greek Credit Rating in the Light of the Efficient Market Hypothesis

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  • Vol.9,No.2(2018) (Articles)

    Determinants of Property Insurance Demand in Slovak Republic: Challenges and Obstacles

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  • Vol.9,No.2(2018) (Articles)

    The Use of Qualitative Indicators in Banking Rating Systems

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  • Vol.9,No.2(2018) (Articles)

    Profitability of Sector Mutual Funds and ETFs During Market Development and Length of Investment Horizon

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  • Vol.9,No.2(2018) (Articles)

    The Effect of Leverage on Corporate Cash Holdings: Evidence from Indonesian Manufacturing Firms

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  • Vol.10,No.1(2019) (Articles)

    Determination and Verification of the Key Assessment Indicators for the Insurance Market by Applying the Decomposition Multi-attribute Methods and Regression Analysis

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  • Vol.10,No.1(2019) (Articles)

    Oil Prices and Stock Markets in Europe: Detection of Extreme Risk Spillover

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  • Vol.10,No.1(2019) (Articles)

    Analyzing the Emotional Bondage of Serial Fans and Business Decisions on Series Extension in the Context of Impact on the Stock Price of the Providers

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  • Vol.10,No.2(2019) (Articles)

    The Impact of Herding on the Expected Return in the Egyptian Stock Exchange

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  • Vol.10,No.2(2019) (Articles)

    The New Rules of Capital Adequacy Basel III from the Perspective of Leasing Companies in Europe and Czech Republic

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  • Vol.11,No.1(2020) (Articles)

    A Model of Vignette for Motor Vehicles in the Czech Republic

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  • Vol.11,No.1(2020) (Articles)

    Influence of Exchange Rate on the Economic Growth in the Turkish Economy

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  • Vol.11,No.2(2020) (Articles)

    Empirical Test of Fama and French Three-Factor Model in the Egyptian Stock Exchange

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  • Vol.11,No.2(2020) (Articles)

    The Impact of Herding on the Risk Pricing in the Egyptian Stock Exchange

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  • Vol.11,No.2(2020) (Articles)

    Commonalities in Returns in the Stock Markets of the Visegrad Group: A Quantile Coherency Approach

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  • Vol.11,No.2(2020) (Articles)

    In Search of the Optimal Saving Strategy for Pan-European Pension Products

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Financial Assets and Investing

Financial Assets and Investing
Department of Finance
Faculty of Economics and Administration
Masaryk University
Lipová 41
602 00 Brno
Czech Republic

Email: fai@econ.muni.cz
ISSN: 1804-5081 , E-ISSN: 1804-509X
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