Journal "Investment Management and Financial Innovations", #3/2009
Available files
Some papers of the issue are freely available. Please check contents below for hyperlinks pointing to appropriate files. All other issues will be available only for subscribers, see more information about subscribing and single issue purchasing conditions.
| #3/2009. 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
| Anna Carmen Díaz Mendoza, Miguel Ángel Martínez Sedano The choice of performance-based fees in the mutual fund industry: the case of Spain |
| Godfred A. Bokpin, Eunice Stella Nyarko Assessing the corporate governance practices of the hospitality industry in Ghana |
| Chin-Yi Fang, Jin-Li Hu A metafrontier study of securities broker and dealer efficiency under zero-sum gains |
| Richard Fairchild Managerial overconfidence, moral hazard problems, and excessive life-cycle debt sensitivity |
| Fazil Gökgöz Mean variance optimization via factor models in the emerging markets: evidence on the Istanbul Stock Exchange |
| David Hua, Heng-Chih Chou, David Wang A defaultable callable bond pricing model |
| Ravi Jain, Sonia Wasan Adoption of antitakeover legislation and R&D expenditure |
| Carla Angela, Rossella Bisignani, Giovanni Masala, Marco Micocci Advanced operational risk modelling in banks and insurance companies |
| Chuan-Ying Hsu, Hsiao-Fen Hsiao, Chun-An Li Effect of board monitoring on corporate investment and firm performance: Taiwan evidence |
| Kean Ow-Yong, Victor Murinde Perception of risk and uncertainty and non-usage of discounted cash flow techniques by UK listed firms |
