33 results on '"Kassimatis, Konstantinos"'
Search Results
2. Stock market development and economic growth in emerging economies
3. Macroeconomic effects on emerging-markets sovereign credit spreads
4. Exploiting stochastic dominance to generate abnormal stock returns
5. Macroeconomic Effects on Emerging-Markets Sovereign Credit Spreads
6. International Equity Flows, Marginal Conditional Stochastic Dominance and Diversification
7. Country Financial Risk and Stock Market Performance: The Case of Latin America
8. An Alternative Measure of the “World Market Portfolio”: Determinants, Efficiency, and Information Content
9. An empirical analysis of marginal conditional stochastic dominance
10. Size, Book to Market and Momentum Effects in the Australian Stock Market
11. An alternative measure of the “world market portfolio”: Determinants, efficiency, and information content
12. Making inefficient market indices efficient
13. International equity flows, marginal conditional stochastic dominance and diversification
14. Short-term patterns in government bond returns following market shocks: International evidence
15. Country financial risk and stock market performance: the case of Latin America
16. Size and momentum in European equity markets: empirical findings from varying beta Capital Asset Pricing Model
17. The Effect of Country Default Risk on Foreign Direct Investment
18. A Measure of Total Firm Performance: New Insights for Shareholder Utility
19. Index Tracking with Utility Enhanced Weighting
20. Stock and credit market expansion and economic development in emerging markets: further evidence utilizing cointegration analysis
21. Stock market development and economic growth in emerging economies
22. International equity flows, marginal conditional stochastic dominance and diversification
23. Stochastic Dominance and Abnormal Stock Returns: Market Anomaly or Information Impasse?
24. Risk Aversion with Local Risk Seeking and Stock Returns: Evidence from the UK Market
25. International Equity Flows, Dominant Distributions and Diversification
26. Making Inefficient Market Indices Efficient
27. Short-term overreaction, underreaction and efficient reaction: evidence from the London Stock Exchange
28. Constructing and Testing the 'World Market Portfolio' for Dollar Based Investors
29. Time-Variation in the Value Premium and the CAPM: Evidence from European Markets
30. Abnormal Short-Term Returns Following Market-Moving Events in the International Government Bond Market
31. Financial liberalization and stock market volatility in selected developing countries
32. Country Financial Risk and Stock Market Performance: The Case of Latin America
33. Stock and Credit Market Expansion and Economic Development in Emerging Markets: Further Evidence Utilising Cointegration Analysis
Catalog
Books, media, physical & digital resources
Discovery Service for Jio Institute Digital Library
For full access to our library's resources, please sign in.