Published: 2014-11-14


Sudden Changes In Volatility In European Stock Markets

Khaled Guesmi, Frederic Teulon, Zied Ftiti
Abstract 409 | PDF Downloads 188 | DOI

Page 1567-1576

A Comparison Of Mean-Variance And Mean-Semivariance Optimisation On The JSE

Jiten Vasant, Laurent Irgolic, Ryan Kruger, Kanshukan Rajaratnam
Abstract 305 | PDF Downloads 308 | DOI

Page 1587-1596

The Role Of Work Life Balance In Job Satisfaction And Job Benefit

Maria Malik, Difang Wan, Laiba Dar, Aqsa Akbar, Muhammad Akram Naseem
Abstract 2824 | PDF Downloads 2235 | DOI

Page 1627-1638

A Risk-Adjusted Evaluation Of The JSE Top 40 As An International Investment Option

Andreas G. Heymans, Chris van Heerden
Abstract 188 | PDF Downloads 245 | DOI

Page 1639-1654

The Effects Of Regulation And Supervision On European Banking Profitability And Risk: A Panel Data Investigation

Faten Ben Bouheni, Hachmi Ben Ameur, Abdoulkarim Idi Cheffou, Fredj Jawadi
Abstract 923 | PDF Downloads 1127 | DOI

Page 1665-1670

A CGE Simulation Of A Flat Tax As A Possibility For Tax Reform In South Africa

Lumengo Bonga-Bonga, Martin Perold
Abstract 212 | PDF Downloads 235 | DOI

Page 1693-1708

Home Equity Insurance & The Demise Of Home Value Insurance Corporation

Zachary A. Smith, Alan Harper
Abstract 175 | PDF Downloads 216 | DOI

Page 1709-1724

Sales Bottlenecks And Their Effect On Profit

Mark Veltman, Robert Kooij, Sebastian Marban
Abstract 323 | PDF Downloads 266 | DOI

Page 1725-1738

Over-Investment And The Cost Of Debt

Jungeun Cho, Hyunjung Choi
Abstract 301 | PDF Downloads 210 | DOI

Page 1739-1752

International Standards For Exporting Firms: Evidence From China

Ying Sun, Wenjing Ouyang
Abstract 223 | PDF Downloads 266 | DOI

Page 1753-1766

Achieving Relational Objectives Through Sponsorship

Barbara Caemmerer, Raluca Mogos Descotes
Abstract 288 | PDF Downloads 331 | DOI

Page 1767-1784

Practice Of Accounting Conservatism In MBE Firms

Sang Hyun Park, Jaywon Lee
Abstract 177 | PDF Downloads 220 | DOI

Page 1785-1802

Are Credit Default Swaps Credit Default Insurances?

Christian Schmaltz, Periklis Thivaios
Abstract 280 | PDF Downloads 2517 | DOI

Page 1819-1830

Does GMVP Strategy Reduce Risk? A Global Asset Approach

Arben Zibri, Agim Kukeli
Abstract 183 | PDF Downloads 323 | DOI

Page 1873-1882

Long-Tail Distributions And Total Returns On Risk-Based Investment Products

Albert E. DePrince, Jr., A. Eugene DePrince III
Abstract 157 | PDF Downloads 211 | DOI

Page 1183-1900

Crowdfunding In France: A New Revolution?

Aurelie Sannajust, Fabien Roux, Anissa Chaibi
Abstract 1019 | PDF Downloads 826 | DOI

Page 1919-1928

Fundamental Indexes As Proxies For Mean-Variance Efficient Portfolios

Kathleen Hodnett, Geare Botes, Khumbudzo Daswa, Kimberly Davids, Emmanuel Che Fongwa, Candice Fortuin
Abstract 448 | PDF Downloads 292 | DOI

Page 1929-1938