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Journals >> Economics & Statistics >> Journal of Finance and Investment Analysis

Journal of Finance and Investment Analysis

  • Volume 4, Issue 1
  • Second Dimension Risk – A Reduced Form Analysis of European Sovereigns’ Credit Spreads Jonas Vogt
  • How Many Days Equal A Year? A Note on the Mean-Variance Model Christine A. Panasian and George Ye
  • Default Prediction Models a Comparison between Market Based Models and Accounting Based: Case of the Zimbabwe Stock Exchange 2010-2013 Jacob Muvingi, Dingilizwe Nkomo, Peter Mazuruse and Patricia Mapungwana
  • Is Skewness Simply Sufficient?: Evidence from Monte Carlo Simulation on Asymmetric Asset Returns Huijian Dong and Wyatt J. Swayngim
  • Value Creation in Strategic M&A: How to make your Growth Strategy Value-creating? Veronika Vinogradova

ISSN: 2241-0996 (Online)
2241-0988 (Print)

  • 2023
    • Volume 12 Issue 1
  • 2022
    • Volume 11 Issue 3
    • Volume 11 Issue 2
    • Volume 11 Issue 1
  • 2021
    • Volume 10 Issue 4
    • Volume 10 Issue 3
    • Volume 10 Issue 2
    • Volume 10 Issue 1
  • 2020
    • Volume 9 Issue 4
    • Volume 9 Issue 3
    • Volume 9 Issue 2
    • Volume 9 Issue 1
  • 2019
    • Volume 8 Issue 4
    • Volume 8 Issue 3
    • Volume 8 Issue 2
    • Volume 8 Issue 1
  • 2018
    • Volume 7 Issue 4
    • Volume 7 Issue 3
    • Volume 7 Issue 2
    • Volume 7 Issue 1
  • 2017
    • Volume 6 Issue 4
    • Volume 6 Issue 3
    • Volume 6 Issue 2
    • Volume 6 Issue 1
  • 2016
    • Volume 5 Issue 4
    • Volume 5 Issue 3
    • Volume 5 Issue 2
    • Volume 5 Issue 1
  • 2015
    • Volume 4 Issue 4
    • Volume 4 Issue 3
    • Volume 4 Issue 2
    • Volume 4 Issue 1
  • 2014
    • Volume 3 Issue 4
    • Volume 3 Issue 3
    • Volume 3 Issue 2
    • Volume 3 Issue 1
  • 2013
    • Volume 2 Issue 4
    • Volume 2 Issue 3
    • Volume 2 Issue 2
    • Volume 2 Issue 1
  • 2012
    • Volume 1 Issue 4
    • Volume 1 Issue 3
    • Volume 1 Issue 2
    • Volume 1 Issue 1
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