Journal "Investment Management and Financial Innovations", #2/2004

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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.

#2/2004. 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

Dietrich Schönwitz
The Five Basic Truths of Anti Inflation Policy and the Stability Oriented Strategy of the European Central Bank (ECB)

Arturo Rodríguez Castellanos, Belén Vallejo Alonso
Spanish mutual fund misclassification: Empirical evidence

Izani I., A.Raflis Che O.
The Lead-Lag Pattern of Leading, Coincident and Lagging Indicators in Malaysia

Chao Chen, Yanbo Jin
A Robust Test on the Multifactor Pricing Model

Oleg Vasyurenko, Ganna Azarenkova
Profitability of the Securities' Portfolio of the Banks of Ukraine and The Structure of Their Regional Distribution (Evaluation Analysis And Methodological Notes)

Soretha Beets
The use of derivatives to manage interest rate risk in commercial banks

Hagen Lindstädt
Co-ordination Mechanisms and Intensity of Integration Matter for the Duration and Success of Mergers. Hypotheses and Empirical Evidence from 50 International Transactions

Lucio Cassia, Stefano Paleari, Renato Redondi
Underpricing and Expected Returns for Individual and Institutional Investors: the Case of Italy

Rosa Cocozza, Emilia Di Lorenzo, Marilena Sibillo
Methodological Problems in Solvency Assessment of an Insurance Company