Public Directory of Journals and Books - Index PUBMS

1,467 Articles | 97 Issues | 5 Journals
Results: 16 (0.041 seconds)

Articles

# [1-16/16] Title Pages
1. Gold and capital market in Indonesia: A preview on strategy of hedging and diversification
Issue: Vol. 12, No 2, 2019
Journal: Journal of International Studies
Authors: Robiyanto Robiyanto, Didik Hadiyatno, Sudjinan Sudjinan, Rihfenti Ernayani
Keywords: DCC-GARCH, gold, Jakarta Islamic Index (JII), Indonesian capital market
JEL: G11
117-128 (12)
2. “Deliberated Intuition” in Stock Price Forecasting
Issue: Vol. 11, No 3, 2018
Journal: Economics & Sociology
Authors: Tobias Endress
Keywords: forecasting, decision-making, deliberated intuition, equity predictions, stock prices
JEL: D70, D91, G11, G17, N24
11-27 (17)
3. Seasonal patterns in oil prices and their implications for investors
Issue: Vol. 11, No 2, 2018
Journal: Journal of International Studies
Authors: Peter Arendas, Daniela Tkacova, Jan Bukoven
Keywords: oil, Brent, WTI, seasonality, investment strategy
JEL: Q02, G11, G15
180-192 (13)
4. Credit standards and factors affecting their strictness in the segment of SMEs in the Slovakia
Issue: Vol. 11, No 1, 2018
Journal: Journal of International Studies
Authors: Aleksandr Kljucnikov, Monika Sobekova Majkova, Zuzana Vincurová
Keywords: small and medium-sized enterprises, SMEs, credit risk, credit standards, loan condition
JEL: G11, G32
163-176 (14)
5. Investors are more Sensitive to Information about Financial Rather than Ethical Reputation of a Company: Evidence from an Experimental Study
Issue: Vol. 9, No 1, 2016
Journal: Economics & Sociology
Authors: Anna Blajer-Gołębiewska, Maciej Kos
Keywords: Corporate Reputation, Investment Decisions, Experiments
JEL: M14, G11, C91
11-22 (12)
6. Linkage between company scores and stock returns
Issue: Vol. 10, No 4, 2017
Journal: Journal of International Studies
Authors: Saban Celik, Bora Aktan, Manuela Tvaronaviciene, Pelin Bengitoz
Keywords: company scores, corporate governance, economic, environmental, social, stock return
JEL: G11, G17, G30
219-232 (14)
7. Comparison of ETF´s performance related to the tracking error
Issue: Vol. 10, No 4, 2017
Journal: Journal of International Studies
Authors: Michaela Dorocáková
Keywords: risk diversification, passive investment strategy, indexing, exchange-traded funds, tracking error
JEL: G11, G15, G23
154-165 (12)
8. Applying an international CAPM to herding behaviour model for integrated stock markets
Issue: Vol. 10, No 4, 2017
Journal: Journal of International Studies
Authors: Najmudin Najmudin, Diana Hashim Syarif, Sugeng Wahyudi, Harjum Muharam
Keywords: herding behavior, market integration, international CAPM
JEL: G11, G12, G15, F36
47-62 (16)
9. Determinants of foreign direct investment in Tunisia: Empirical assessment based on an application of the autoregressive distributed Lag model
Issue: Vol 2 No 1 (2017)
Journal: Economics, Management and Sustainability
Authors: Teheni El Ghak, Abdelkader Zribi, Nadia Zrelli, Hazar Temmi
Keywords: foreign direct investment, autoregressive distributed lag approach, cointegration, Tunisia
JEL: E22, F21, G11
43-59 (17)
10. Long Term Passive Investment Strategies as a Part of Pension Systems
Issue: Vol. 8, No 3, 2015
Journal: Economics & Sociology
Authors: Bozena Chovancova, Peter Arendas
Keywords: passive investment strategy, interest rates, cost averaging effect, indexing, share market
JEL: G00, G10, G11
55-67 (13)
11. NET PRESENT VALUE VERSUS INTERNAL RATE OF RETURN
Issue: Vol. 4, No 1, 2011
Journal: Economics & Sociology
Authors: Lajos Juhász
Keywords: business economics, portfolio choice; investment decisions, financial forecasting and simulation, production; cost; capital, total factor, and multifactor productivity; capacity, criteria for decision-making under risk and uncertainty
JEL: M21, G11, G17, D24, D81
46-53 (8)
12. Corporate Social Responsibility at the Global Level: an Investigation of Performances and Integration of Socially Responsible Investments
Issue: Vol. 5, No 2a, 2012
Journal: Economics & Sociology
Authors: Alexandra Horobet, Lucian Belascu
Keywords: corporate social responsibility, socially responsible investing, portfolio performance, capital market integration, international diversification
JEL: G01, G11, G30, M14
24-44 (21)
13. Open-Ended Funds in Romania. Their Performance in an Economically Difficult Environment
Issue: Vol. 5, No 2a, 2012
Journal: Economics & Sociology
Authors: Tudorache Florentin Gabriel
Keywords: open ended funds, Romania, investment funds’ performance
JEL: G23, G11, D53, E22
57-70 (14)
14. The Analysis of Chosen Business Obstacles and Problems with the Financing of Young Entrepreneurs in Slovakia
Issue: Vol. 7, No 3, 2014
Journal: Economics & Sociology
Authors: Monika Sobeková Majková, Ján Solík, Juraj Sipko
Keywords: small and medium sized enterprises, young entrepreneurs, financial resources, obstacles in financing, barrier of financing
JEL: G11, G32
90-103 (14)
15. Corporate Reputation and Economic Performance: the Evidence from Poland
Issue: Vol. 7, No 3, 2014
Journal: Economics & Sociology
Authors: Anna Blajer-Gołębiewska
Keywords: social responsibility, corporate reputation, investment decisions, Poland.
JEL: M14, G11
194-207 (14)
16. Stock Prices: Are Intuitive or Deliberate Persons Better Forecasters?
Issue: Vol. 8, No 4, 2015
Journal: Economics & Sociology
Authors: Tobias Endress, Tony Gear
Keywords: Forecasting, decision-making, financial economics, equity predictions, stock trading
JEL: D70, G11, G17, M51
43-50 (8)