Issue #1 (Volume 9 2012)
Articles
	10
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                What is a good investment measure?Ping Hsiao , Donglin LiInvestment Management and Financial Innovations Volume 9, 2012 Issue #1
 Views: 589 Downloads: 566 TO CITE
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                Is the progress of financial innovations a continuous spiral process?Investment Management and Financial Innovations Volume 9, 2012 Issue #1
 Views: 703 Downloads: 698 TO CITE
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                Time series and neural network forecasts of daily stock pricesK.C. Tseng , Ojoung Kwon , Luna C. TjungInvestment Management and Financial Innovations Volume 9, 2012 Issue #1
 Views: 551 Downloads: 996 TO CITE
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                Regimes in Australian pension fund returns: a hidden semi-Markov approachRobert J. Bianchi , Michael E. Drew , Adam N. WalkInvestment Management and Financial Innovations Volume 9, 2012 Issue #1
 Views: 594 Downloads: 334 TO CITE
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                The outcome of backdating investigations: economic consequences, market overreaction and management motivesJingyu Li , Fayez A. Elayan , Thomas O. Meyer , Parunchana PacharnInvestment Management and Financial Innovations Volume 9, 2012 Issue #1
 Views: 512 Downloads: 295 TO CITE
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                Aggregation of an FX order book based on complex event processingBarret Shao , Greg FrankInvestment Management and Financial Innovations Volume 9, 2012 Issue #1
 Views: 568 Downloads: 712 TO CITE
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                Short-term prior return patterns in stocks and sector returns: evidence for BRICKS marketsInvestment Management and Financial Innovations Volume 9, 2012 Issue #1
 Views: 592 Downloads: 302 TO CITE
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                The relation between changes in the information content of earnings and expected stock returns: empirical evidence for JapanAndreas Charitou , Eleni Constantinidis , Christodoulos LoucaInvestment Management and Financial Innovations Volume 9, 2012 Issue #1
 Views: 579 Downloads: 284 TO CITE
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                An evidence-based investigation into the implications of socio-economic factors for private investment decision-making in the context of IndiaSenthil Kumar Kesavan , Vijayabanu Chidambaram , Amudha RamachandranInvestment Management and Financial Innovations Volume 9, 2012 Issue #1
 Views: 572 Downloads: 372 TO CITE
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                An empirical examination of alternative valuation models: the case of the London Stock ExchangeStella Spilioti , George A. KarathanassisInvestment Management and Financial Innovations Volume 9, 2012 Issue #1
 Views: 596 Downloads: 327 TO CITE
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