ATINER |
Athens Institute for Education and
Research |
Home PageØPublicationsØPaper Subjects Ø Finance Papers
Finance paper series (Note: This list includes papers which have been presented at our Annual
International Conferences on Finance, as well as at other Conferences, which
have been organised by ATINER, and which are related to Finance. This list
was first drawn up in 2012). |
ATINER’s Finance Paper Series is indexed in
Google Scholar.
|
No |
Paper Series
Number |
Title |
Authors |
Download |
27 |
1292 |
SME2014-1292 |
Social
Currency: The Raconteur’s Investment Portfolio |
Demos Vardiabasis, Natalie Moshiri, Yury
Adamov and |
|
26 |
1270 |
ECO2014-1270 |
Venture
Capital as a Source of Innovation’s Financing |
Rymkul
Ismailova and Nurgul
Ismagulova |
|
25 |
1065 |
BLE2014-1065 |
Customer
Relationship Bank’s Management in Croatia |
Anita Pavković and Ivana Galić |
|
24 |
1052 |
SPO2014-1052 |
Institutional
System of the State and Public Policy: The Structure of Sports Management in
Brazil |
Alessandra Dias Mendes and Adriano Nervo Codato |
|
23 |
1029 |
HEA2014-1029 |
Quality
Management in Hospitals: Does it Contribute to High Quality of Care? |
Viktor Dombradi and Sandor Godeny |
|
22 |
1021 |
EDU2014-1021 |
Leadership
and Management in the Definitions of School Heads |
Jakub
Kolodziejczyk |
|
21 |
953 |
FIN2014-0953 |
Relationship
between R&D efforts and Firm Value in the Pharmaceutical Industry |
Jong Oh Kim,
Joung Hwa Choi and Seng Ho Jeon |
|
20 |
934 |
SOC2014-0934 |
The Pyrrhic
Triumph of Finance Capital and the Return of Polanyi |
Trevor W. Harrison |
|
19 |
933 |
FIN2014-0933 |
Debt-Creating
Capital Flows and their Macroeconomic Implications in Ukraine |
Tetiana Bogdan |
|
18 |
904 |
BLE2014-0904 |
Facts on the
Horizon: Future German Ink and Mineral Oil Ordinance. A National Approach and
its European Spill Over: Risk Management, Compliance and Avoidance of
Liability |
Matthias von
Juterzenka and Thomas Heupel |
|
17 |
901 |
BLE2014-0901 |
The Role of Financial Indicators in Rationalizing
of Investors' Decisions in the Jordanian Stock Exchange Market |
Osama
Samih Shaban and Ziad Al-Zubi |
|
15 |
872 |
LAW2013-0872 |
The
Taxation of Interest Earned in Customer Loyalty Award Programmes in South
Africa |
Pieter
Brits |
|
14 |
862 |
SPO2013-0862 |
Revenues
from Related Parties Transactions and UEFA Financial Fair Play. The Search
for an Alternative Solution to Fair Value Measurement for the Break-Even
Result Assessment |
Salvatore
Cincimino |
|
13 |
782 |
BUS2013-0782 |
Valuation
Model of Project Portfolio under Uncertainty |
Fenmay
Liou and Borliang Chen |
|
12 |
742 |
BUS2013-0742 |
Competition
Analysis of Mortgage Housing Credit Market in Russia |
Liudmila
Guzikova |
|
11 |
629 |
CBC2013-0629 |
An Examination of Factors Affecting
Liquidity Management in Indian Financial System |
Shyam
Bhati and Anura DeZoysa |
|
10 |
626 |
BUS2013-0626 |
Investigating the Relationship
between Enterprise Resource Planning (ERP) System and Internal Control: A
Exploratory Study |
Hani
Shaiti, Yanqing Duan and Magdy Abdel-kader |
|
9 |
529 |
SME2013-0529 |
Financial
Administration and Small and Medium Enterprises: A
Study Conducted in South Africa |
Thea Visser, Gideon Nieman and Emsi van
Heerden |
|
8 |
496 |
POL2013-0496 |
The
Return of the Value Added Tax A
New Own Resource to Finance the Budget of the European Union |
Auke
R. Leen |
|
7 |
459 |
BUS2013-0459 |
Booms, Crashes and Early Investment Experiences
in a Laboratory Experiment |
Dimitra
Papadovasilaki, Federico Guerrero, Amanda Safford, James Sundali and Gregory
R. Stone |
|
6 |
326 |
ECO2012-0326 |
Long-Term
Relationship between Misery Index and Stock Market: The Colombian Case |
Julio César Alonso and Luis Eduardo
Jaramillo |
|
5 |
324 |
ECO2012-0324 |
Sound
and Unsound Public Policies Addressed to the Crisis of Modern Financial
Systems |
Cristian
Paun and Vladimir Topan |
|
4 |
322 |
ECO2012-0322 |
Economic
Performance and Stock Market Activity in Mexico |
Ramon
A. Castillo-Ponce, Edgar David Gaytán-Alfaro and Maria de Lourdes
Rodríguez-Espinosa |
|
3 |
224 |
BUS2012-0224 |
A Risk
Management Decision Model for Energy Service Companies by Using Real Options |
Ahmet Can Kutlu |
|
2 |
127 |
COM2012-0127 |
Markovian Algorithm for Vanilla Option Valuation |
Eimutis
Valakevičius |
|
1 |
14 |
MDT2012-0014 |
Financial difficulties of Italian
local authorities: a financial critical elements analysis to identify
prediction and diagnosis models |
Renato Civitillo |