Browse Title Index

Issue Title
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
Vol 9, No 1 (2018) Stock Prices and the Rate of Return Analysis: The Case of Warsaw Stock Exchange Abstract   PDF
Magdalena Jasiniak
Vol 8, No 1 (2017) The Connection between the Exchange Rate and the Balance of Payments Accounts in the Czech Republic: An Econometric Approach Abstract   PDF
Tomáš Urbanovský
Vol 1, No 1 (2010) The Development of the Insurance Market in the Countries of the Visegrád Four in 1995–2007 Details   PDF
František Řezáč
Vol 9, No 2 (2018) The Effect of Leverage on Corporate Cash Holdings: Evidence from Indonesian Manufacturing Firms Abstract   PDF
Anggita Langgeng Wijaya, Name Bandi
Vol 5, No 3 (2014) The Effects of Irreversibility and Uncertainty on Business Investments: A New View of Investment Abstract   PDF
Katarína Belanová
Vol 8, No 1 (2017) The Efficiency of Selected Banking Sectors in the European Union Abstract   PDF
Liběna Černohorská
Vol 5, No 1 (2014) The Choice of Portfolio Based on the Theory of Cooperative Games and the Zeuthen’s and Harsany’s Method Abstract   PDF
Anna Sroczyńska-Baron
Vol 2, No 3 (2011) 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 Abstract   PDF
Katarína Híľovská, Martina Lučkaničová, Ján Šterba
Vol 10, No 2 (2019) The Impact of Herding on the Expected Return in the Egyptian Stock Exchange Abstract   PDF
Mostafa Hussein Abd Alla, Mahmoud Sobh
Vol 8, No 2 (2017) The Impacts of Brexit on European Equity Markets Abstract   PDF
Mária Bohdalová, Michal Greguš
Vol 8, No 2 (2017) The Level of Integration of Bancassurance Products of Financial Groups Erste Group Bank, UniCredit Group and KBC Group in Selected Countries Abstract   PDF
Lenka Přečková, Eva Vávrová
Vol 2, No 1 (2011) The Management of Credit Financing and Credit Trades Details   PDF
František Kalouda
Vol 10, No 2 (2019) The New Rules of Capital Adequacy Basel III from the Perspective of Leasing Companies in Europe and Czech Republic Abstract   PDF
Martin Svítil
Vol 5, No 3 (2014) The Process of Company Mergers in the Context of Legislation, Accounting and Taxes Details   PDF
Veronika Kajurová
Vol 4, No 2 (2013) The Relationship between Intellectual Capital and Income Smoothing and Stock Returns Abstract   PDF
Hamidreza Vakilifard, Masoumeh Sadat Rasouli
Vol 8, No 1 (2017) The Return Variability and Dispersion: Evidence from Mutual Funds in Post-Transition Countries Abstract   PDF
Dariusz Filip
Vol 2, No 1 (2011) The Use of Internal Financial Reporting Standard for Small and Medium Sized Entities Details   PDF
Eva Hýblová
Vol 9, No 2 (2018) The Use of Qualitative Indicators in Banking Rating Systems Abstract   PDF
Martin Svítil
Vol 7, No 1 (2016) Traditional and Alternative Risk: Application to Hedge Fund Returns Abstract   PDF
Claudio Boido, Antonio Fasano
Vol 2, No 2 (2011) Treasury Management in Medium-Sized Banks Details   PDF
Eric Frère
Vol 4, No 2 (2013) Using Monte Carlo for the Assessment of a Brokered Bank Deposit Business Abstract   PDF
Jan Vlachý
Vol 3, No 3 (2012) "What If" Analyses in Investment Decision Making Abstract   PDF
Katarína Belanová
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