Journal "Investment Management and Financial Innovations", #4/2015

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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.

#4/2015. 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

Abdullah Ejaz, Petr Polak (2015). Existence of short term momentum effect and stock market of Turkey, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 9-15.
Heng-Hsing Hsieh (2015). Empirical investigation of the value effect in the large and small cap segments of the JSE: evidence from the South African stock market, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 16-22.
Mahdi Salehi, Mahmoud Lari Dashtbayaz, Mostafa Bahrami, Hossein Mosallapour (2015). Relationship between oil price fluctuations and stock price index in Iran, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 23-33.
Charbel Salloum, George Jabbour, Jacques Digout, Elias Gebrayel (2015). Managerial dominance over the board and audit committee independence in financial institutions, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 34-43.
Paulo Alves (2015). The expenses of real estate funds in a small market: their determinants, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 44-50.
Paul-Francois Muzindutsi, Mishumo Clifford Mutangwa (2015). Analysis of short- and long-run interactions between the stock market and prices of different sizes of properties in South Africa, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 51-60.
Yen-Hsien Lee, Tung-Yueh Pai, Ya-Ling Huang, Yu-Shan Lin (2015). Foreign ownership, return volatility, and investment opportunities, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 61-69.
Maria Alberta Oliveira, Carlos Santos (2015). Market exuberance in sovereign credit default swaps: assessing the EU regulatory framework and trading profit opportunities, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 70-80.
Sorah Park (2015). Investor sentiment and earnings management: evidence from Korea, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 81-89.
Isaac B. Oluwatayo, Omowunmi Timothy (2015). Risk attitudes among catfish farmers in oyo state, Nigeria, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 90-97.
Dušan Steinhauser (2015). Measuring the quality of the institutional environment through the development of prices of credit default swaps in times of economic disturbances, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 98-105.
Yun-Yi Wang, Tzu-Chuan Kao, Chu-Hsiung Lin, Tsun-Jen Wei (2015). Reexamining the likelihood of extreme returns in international stock markets, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 106-114.
George Vamvoukas, Stella N. Spilioti (2015). The effects of budget deficits on current accounts in the EMU, Investment Management and Financial Innovations, Vol. 12, Iss: 4, pp. 115-122.