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نمایش مقالات انگلیسی با موضوع: مدیریت مالی تعداد : 98
61. Dynamic relationships among equity flows, equity returns and dividends: Behavior of U.S. investors in China and India
Source: Global Finance Journal 24 (2013) 13–29
Authors: .
No of Pages: 17
Price (Tomans): 0
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62. An investor sentiment barometer — Greek Implied Volatility Index (GRIV)
Source: Global Finance Journal 23 (2012) 77–93
Authors: .
No of Pages: 17
Price (Tomans): 0
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63. An empirical study of multiple direct international listings
Source: Global Finance Journal 24 (2013) 69–84
Authors: .
No of Pages: 16
Price (Tomans): 0
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64. The performance of frequent acquirers: Evidence from emerging markets
Source: Global Finance Journal 23 (2012) 16–33
Authors: .
No of Pages: 18
Price (Tomans): 0
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65. The bivariate GARCH approach to investigating the relation between stock returns, trading volume, and return volatility
Source: Global Finance Journal 23 (2012) 1–15
Authors: .
No of Pages: 15
Price (Tomans): 0
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66. Risk appetite, carry trade and exchange rates
Source: Global Finance Journal 23 (2012) 48–63
Authors: .
No of Pages: 16
Price (Tomans): 0
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67. Integration of 22 emerging stock markets: A three-dimensional analysis
Source: Global Finance Journal 23 (2012) 34–47
Authors: Ranjit Voola , Gian Casimir , Jamie Carlson , M. Anushree Agnihotri
No of Pages: 14
Price (Tomans): 0
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68. Modelling asymmetry and persistence under the impact of sudden changes in the volatility of the Indian stock market
Source: IIMB Management Review (2012) 24, 123e136
Authors: .
No of Pages: 14
Price (Tomans): 0
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69. Exploiting the self-organizing financial stability map
Source: Engineering Applications of Artificial Intelligence 26 (2013) 1532–1539
Authors: .
No of Pages: 8
Price (Tomans): 0
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70. Automated news reading: Stock price prediction based on financial news using context-capturing features
Source: Decision Support Systems 55 (2013) 685–697
Authors: .
No of Pages: 13
Price (Tomans): 0
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