First published in
2006, the “Investment Research & Analysis Journal” presents original and
valuable papers in the field of Corporate Finance, Corporate Governance,
Financial Econometrics, Portfolio Management, Financial Engineering, Banking,
Financial & Strategic Management, International Accounting & Financial
Management.
The articles of the
newly published Issue 9 are presented below:
INVESTMENT RESEARCH & ANALYSIS JOURNAL, Issue 9 (Volume V, N 1), 2012-2014
Supply Chain Resilience and Sustainability, G.
Malindretos, S. Binioris
Lead – Lag Relationships between Stock Market and
Derivatives Market: The Case of Greece,
Papapanagiotou Trifon, Kousenides Dimitrios
Disclosure of Environmental Information within the
Business Market through the Use of Financial and Accounting Tools, Melina Kourantidou,
Nwaubani Joel
Financial Regulation and Macro-Prudential Policy, Charilaos
Mertzanis
An Empirical Investigation of the Factors Influencing
Tax Evasion with the Use of False and Fictitious Invoices, Ioannis
Gourlias, Petros Lathiras
Is Macroeconomic Stability a Factor of Market
Efficiency? : The Eurozone
Case, Prokopios Karadimos, Charalambos
Bilas