International Review of Applied Financial Issues and Economics
  Home Subscription information
   
 
Search:
    Untitled Document
   

ISSN: 9210 - 1737

International Review of Applied Financial Issues and Economics
Mercure University, Brussels, Belgium
Published by S.E.I.F at Paris
Subject areas: Finance/Economics
Frequency: Published quarterly
ISSN: 9210 - 1737

 


 
 
  About IRAFIE
  Aims and scope
  Editorial
  Indexed / abstracted in
  Contact IRAFIE
  Journal News
  View content online
  Volume 4 Issue 1 (2012)
  Volume3 Issue 4 (2011)
  Volume3 Issue 3 (2011)  
  Volume3 Issue 2 (2011)  
  Volume3 Issue 1 (2011)  
  Volume2 Issue 4 (2010)  
  Volume2 Issue 3 (2010)  
  Volume2 Issue 2 (2010)  
  Volume 2Issue 1 (2010)  
  Volume 1Issue 1 (2009)  
  Forthcoming Papers
  Forthcoming Papers
  Errata
  Errata
  Special Issues
  Issues in Progress
  Published Issues
  Book Review
  Book Review
  For authors
  Guidelines for contributors
  IRAFIE OPEN ACCESS
  Help us Improve
  Instructions for referees
  Instructions for referees
  Subscription information
  Subscription information
  Single Issues Pricing
  Recommend This Journal
To Your Library
  Institutional Subscription Form
  News and Announcements
Events and conferences  
Call for papers

 


Volume 2 Issue 1 (March 2010)
 
The Right to Fire: Stock Market Reaction to the Adoption and Subsequent Rescinding of the First Employment Contract in France
Nancy K. Mohan
University of Dayton, USA
Carl R. Chen
University of Dayton, USA
Abstract | References | Full Text |How to Cite
Global Stock Markets Development and Integration: with Special Reference to BRIC Countries
Krishna Reddy Chittedi
Centre for Development Studies JNU, Trivandrum, Kerala, India
Abstract | References | Full Text |How to Cite
Dynamic Pairs Trading Strategy for the Companies Listed in the Istanbul Stock Exchange
Kaan Evren Bolgün
Is Investment, Turkey
Engin Kurun
Takasbank, Turkey
Serhat Güven
Universitat Pompeu Fabra, Spain
Abstract | References | Full Text | How to Cite
A Causal Relationship Between Stock Market And Credit Market An Empirical Analysis For Spain
Adamopoulos Antonios
University of Macedonia, Greece
Abstract | References | Full Text |How to Cite
Corporate Yield Spreads and Sovereign Default Risk
Tarek Chebbi
University of Sousse, Tunisia
Slaheddine Hellara
University of Tunis, Tunisia
Abstract | References | Full Text |How to Cite
Financial Variables in Payment Default Prediction: Test of Interaction Effects
Erkki K. Laitinen
Faculty of Business Studies, Finland
Abstract | References | Full Text |How to Cite
A Multi-Portfolio Model for Bespoke CDO Pricing Part I: Methodology
Richard Zhou
Risk Management, The Depository Trust & Clearing Corporation, USA
Abstract | References | Full Text |How to Cite
Monte Carlo Greeks for Advanced Financial Applications- Jump Diffusions and (Time-Changed) Levy Processes based Models
Jörg Kienitz
Deutsche Postbank AG , Germany
Abstract | References | Full Text |How to Cite
ARFIMA-FIGARCH and ARFIMA -FIAPARCH on Thailand Volatility Index
Chatayan Wiphatthanananthakul
Chiang Mai University, Thailand
Songsak Sriboonchitta
Chiang Mai University, Thailand
Abstract | References | Full Text|How to Cite
Impact of Futures and Options Trading on the Underlying Spot Market Volatility in India
G. SARAVANAN
Pondicherry University, India
Malabika Deo
Pondicherry University, India
Abstract | References | Full Text |How to Cite