Новости в международните финансови пазари, институции и пари (Scientific News in International Financial Markets, Institutions & Money) -
Оригинални статии, които се занимават с международните аспекти на финансовите пазари, институции и пари в следните насоки:
(Original articles dealing with the international aspects of financial markets, institutions and money in the following topic areas).
• международните финансови пазари (international financial markets)
• международните пазари на ценни книжа (international securities markets)
• валутните пазари (foreign exchange markets)
• евро-пазарите (Eurocurrency markets)
• определяне на обменните курсове (determination of exchange rates)
• информация, спекулации и паритет (information, speculation and parity)
• форуърдни лихвени проценти и суапове (forward rates and swaps)
• международни платежни механизми (international payment mechanisms)
• международно търговско банкиране (international commercial banking)
• международно инвестиционно банкиране (international investment banking)
• намеса на централната банка (central bank intervention)
• международната парична система (international monetary systems)
• платежния баланс (balance of payments)
1 Exchange return co-movements and volatility spillovers before and after the introduction of euro - Nikolaos Antonakakis
2 Two-way interplays between capital buffers and credit growth: Evidence from French banks - Jйrфme Coffinet, Virginie Coudert, Adrian Pop, Cyril Pouvelle
3 What drives delistings of foreign firms from U.S. Exchanges? - Susan Chaplinsky, Latha Ramchand
4 Selectivity and timing performance of UK investment trusts - Kenbata Bangassa, Chen Su, Nathan L. Joseph
5 An intertemporal capital asset pricing model with heterogeneous expectations - Dimitrios Koutmos
6 Profitability of pairs trading strategy in an illiquid market with multiple share classes - John Paul Broussard, Mika Vaihekoski
7 Foreign exchange volatility and stock returns - Ding Du, Ou Hu
8 Evolution of a mutual fund market: Empirical analysis of simultaneous growth and decline by fund category in Indonesia - Wista A. Narulita, Jerry T. Parwada
9 A multidimensional classification of market anomalies: Evidence from 76 price indices - John R. Doyle, Catherine Huirong Chen
10 Arbitrage and the Law of One Price in the market for American depository receipts -
Hamad Alsayed, Frank McGroarty
11 Equity financing capacity and stock returns: Evidence from China - M.M. Fonseka, Lalith P. Samarakoon, Gao-Liang Tian
12 Which demands affect optimal international portfolio choices? - Jin-Ray Lu, Chih-Ming Chan, Mei-Hui Wen
13 Integration in European retail banking: Evidence from savings and lending rates to non-financial corporations - Aarti Rughoo, Nicholas Sarantis
14 Time-varying financial stress linkages: Evidence from the LIBOR-OIS spreads - Philip Inyeob Ji
15 The EMU sovereign-debt crisis: Fundamentals, expectations and contagion - Michael G. Arghyrou, Alexandros Kontonikas
16 Are changes in foreign exchange reserves a good proxy for official intervention? - Sandy Suardi, Yuanchen Chang
17 Factors determining European bank risk - Mamiza Haq, Richard Heaney
18 Impact of news announcements on the foreign exchange implied volatility - Andrew Marshall, Taleh Musayev, Helena Pinto, Leilei Tang
19 Asymmetric effects and long memory in dynamic volatility relationships between stock returns and exchange rates - Walid Chkili, Chaker Aloui, Duc Khuong Nguyen
20 Copula model dependency between oil prices and stock markets: Evidence from China and Vietnam - Cuong C. Nguyen, M. Ishaq Bhatti
21 The impact of laws, regulations, and culture on cross-border joint ventures - Dobrina Georgieva, Tomas Jandik, Wayne Y. Lee
22 A variable impact neural network analysis of dividend policies and share prices of transportation and related companies - Hussein A. Abdou, John Pointon, Ahmed El-Masry, Moji Olugbode, Roger J. Lister
23 Political connections and the long-term stock performance of Chinese IPOs - Jianlei Liu, Konari Uchida, Ruidong Gao
24 Recent trends in relative performance of global equity markets - Don U.A. Galagedera
25 Information disclosure and depositor discipline in the Chinese banking sector - Yuliang Wu, Michael Bowe
26 Market power, revenue diversification and bank stability: Evidence from selected South Asian countries - My Nguyen, Michael Skully, Shrimal Perera
27 The listing and delisting of German firms on NYSE and NASDAQ: Were there any benefits? - Wolfgang Bessler, Fred R. Kaen, Philipp Kurmann, Jan Zimmermann