Journal "Investment Management and Financial Innovations", #1 (cont.)/2009

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#1 (cont.)/2009. English language version is available in PDF format. Please use Adobe Acrobat Reader versions 5.0/6.0 to view and print this file.

Contents of issue

Hassan Shirvani, Barry Wilbratte, Natalya Delcoure
Testing for periodic integration and cointegration of the stock prices of the G7 countries

Semra Karacaer, Pelin Ozek
How do firm characteristics affect the market reaction to investment announcements: ISE case

Sinan Aktan
Financial statement indicators of financial failure: an empirical study on Turkish public companies during the November 2000 and February 2001 crisis

Stamatis Kontsas, John Mylonakis
An econometric approach to the effects of euro to investments and growth on six European Union countries

Yusnidah Ibrahim, Mohd Sobri Minai
Islamic bonds and the wealth effects: evidence from Malaysia 

Hakki Arda Tokat
Re-examination of volatility dynamics in Istanbul Stock Exchange 

Jin Luo, Christopher Gan, Baiding Hu, Tzu-Hui Kao
An empirical analysis of Chinese stock price anomalies and volatility

Dar-Hsin Chen, Wei-Ning Chen, Chin-Lin Chuang
Multiscale hedge ratio between Taiwan stock and futures index: an application of wavelet analysis

Pinar Evrim Mandaci
Testing capital structure models for Turkish non-financial firms: the analysis of firm-specific financial factors and agency variables