Browse Title Index


 
Issue Title
 
Vol 7, No 2 (2016) EVA and Stock Returns: Are They Correlated? Abstract   PDF
Matione Sauro, Mashamba Tafirei
 
Vol 7, No 2 (2016) Evaluation of Bancassurance Functioning in Selected Countries of the Financial Groups Erste Group Bank and UniCredit Group Abstract   PDF   PDF
Lenka Přečková
 
Vol 6, No 3 (2015) Evaluation of the VIG Insurance Group’s Insurance Portfolio in the Czech Republic Abstract   PDF
Lenka Přečková
 
Vol 8, No 2 (2017) Exchange Rate Pass-Through in Turkey before and after the Adoption of Inflation Targeting Regime Abstract   PDF
Özcan Karahan
 
Vol 5, No 1 (2014) Factors Affecting Taxpayers’ Decisions in Saving Tax by Investing in Tax Saving Bonds: A Study in U.P. State, India Abstract   PDF
Manoj Kumar, Vikas Anand
 
Vol 6, No 3 (2015) Fields: On the Visibility of Flows in Digital Business Abstract   PDF
Tomáš Krabec, Percy Venegas
 
Vol 8, No 1 (2017) How Big Is the Prize Money Gap? - Analysis of Prize Money in 2016 Grand Slam Tournaments Abstract   PDF
Martin Svoboda, Zuzana Rakovská
 
Vol 4, No 2 (2013) Influence of Terrorist Activities on Financial Markets: Evidence from KSE Abstract   PDF
Usman Bashir, - Inam-ul-Haq, Syed Muhammmad Ahmad Hassan Gillani
 
Vol 5, No 1 (2014) Liquidity Risk Regulation Abstract   PDF
Tomáš Gongol, Pavla Vodová
 
Vol 3, No 2 (2012) Logistic controlling as a possible way to prosperity in the Czech Republic Abstract
Liběna Kantnerová
 
Vol 2, No 3 (2011) Methods of Bank Valuation: A Critical Overview Abstract   PDF
Oleg Deev
 
Vol 5, No 3 (2014) Modeling Financial Surplus of the Housing Projects Developer Abstract   PDF
Tadeusz Czernik, Daniel Iskra
 
Vol 6, No 1 (2015) Modeling the Size of the Mutual Fund Industry in Countries of Central and Eastern Europe Abstract   PDF
Oleksandra Lemeshko, Oldřich Rejnuš
 
Vol 10, No 1 (2019) Oil Prices and Stock Markets in Europe: Detection of Extreme Risk Spillover Abstract   PDF
Blanka Łęt
 
Vol 4, No 3 (2013) On the Differential Market Reaction to Dividend Announcement: Evidence from an Emerging Equity Market Abstract   PDF
Usman Bashir, Syed Zulfiqar Ali Shah, Muntazir Hussain
 
Vol 3, No 3 (2012) 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 Abstract   PDF
Javed Bin Kamal
 
Vol 9, No 2 (2018) Profitability of Sector Mutual Funds and ETFs During Market Development and Length of Investment Horizon Abstract   PDF
Martin Širůček, Jan Vystoupil, Petr Strejček
 
Vol 7, No 3 (2016) Risk Capacity, 2nd Edition: Processes, Approaches and Implementation of Risks in the Context of SREP and MaRisk 6.0 Details   PDF
Eric Frère
 
Vol 4, No 1 (2013) Risk Premia in the Czech Money Market Abstract   PDF
Martin Pohl
 
Vol 3, No 3 (2012) Sainsbury’s vs. Morrisons - An Investment Decision Based on Financial Analysis Abstract   PDF
Zuzana Kalmárová
 
Vol 5, No 1 (2014) Selected Areas of Insurance Industry and Competitiveness of Commercial Insurance Companies Details   PDF
Ryszard Pukala, Eva Kafková
 
Vol 3, No 1 (2012) Selected Aspects of the Copenhagen Economics Study on Reduced VAT Rates in the Current Conditions of the Moravian-Silesian Region Abstract   PDF
Kateřina Randová, Michal Krajňák
 
Vol 2, No 2 (2011) Short Introduction of Short Selling Details   PDF
Dagmar Linnertová
 
Vol 3, No 2 (2012) Statistical arbitrage and FX exposure with South American ADRs listed on the NYSE Abstract   PDF
Shadie Broumandi, Tobias Reuber
 
Vol 7, No 3 (2016) Stock Market Development and Economic Growth: An Empirical Analysis of Zimbabwe (1989-2014) Abstract   PDF
Rabson Magweva, Tafirei Mashamba
 
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