Issue #3 (Volume 2 2005)
Articles
12
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Supermontage as a New Trading System of NASDAQ
K.C. TsengInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 643 Downloads: 649 TO CITE -
The determinants of stock prices in the Kuwait Stock Exchange: An Extreme Bound Analysis
Talla M. Al-DeehaniInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 632 Downloads: 477 TO CITE -
Stock Market Interdependence during the Iraq War
Stefano Paleari , Renato Redondi , Silvio VismaraInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 665 Downloads: 664 TO CITE -
A Coincident Financial Indicator for the Australian Stock Market
Ramaprasad Bhar , Shigeyuki HamoriInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 615 Downloads: 305 TO CITE -
Destabilizing Optimal Trading Strategies in the Stock Market
Haim K. LevyInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 661 Downloads: 334 TO CITE -
Stable Modeling of different European Power Markets
Christian Mugele , Svetlozar T. Rachev , Stefan TrückInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 729 Downloads: 451 TO CITE
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Enlarged Separation Portfolios and Financial Synthetics
Rodolfo ApredaInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 548 Downloads: 318 TO CITE -
Arbitrage and Portfolio Constraints
Helmut Elsinger , Martin SummerInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 611 Downloads: 350 TO CITE -
Management Perspectives on Problems in Controlling and Cost Accounting
Robert C. RickardsInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 571 Downloads: 616 TO CITE -
The Effect of Option Repricing on Common Stock Returns: An Empirical Investigation
Joseph D. VuInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 584 Downloads: 315 TO CITE -
Automation, Stock Market Volatility and Risk-Return Relationship: Evidence from "CATS"
Ata AssafInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 655 Downloads: 391 TO CITE -
The Relationship between Trading Volume, Volatility and Stock Market Returns: A test of Mixed Distribution Hypothesis for A Pre- and Post Crisis on Kuala Lumpur Stock Exchange
Huson Joher Ali Ahmed , Ali Hassan , Annuar M.D NasirInvestment Management and Financial Innovations Volume 2, 2005 Issue #3
Views: 696 Downloads: 486 TO CITE
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