- xviii, 354 pages ; 26 cm.
- Additional Authors
- Christopoulos, Apostolos G.,Kalantonis, Petros,Zopounidis, Constantin,
- Contents: How Greek crisis determine firm's profitability and optimal debt ratio / Ioannis Katsampoxakis, Haralampos Basdekis, Konstantinos Anathreptakis -- Interactions between macroeconomic variables and stock market indices : evidence from Germany, Denmark and Spain, including the period of crisis / Apostolos G. Christopoulos Nikolaos Demiroglou Ioannis G. Dokas -- The impact of capital controls on the use of electronic means of payments (EMPS) in Greece : empirical study / Nikolaos Giannopoulos, Alina Hyz -- The information content of tax loss carryforwards ante and during the global financial crisis : evidence from Greece / Chytis Evangelos, Filos Ioannis, Gkouma Olympia -- Comparative analysis on international portfolio flows to Asian stock markets with a non-linear perspective / Ayben Koy -- Banks, stock markets and growth relationships in the EU28 countries / Andreas G. Georgantopoulos, Ioannis Filos, Evangelos I. Poutos -- The impact of economic sentiment, consumer, producer and investor's confidence indices on the stock returns of listed companies in FTSE-20 in Greece / Constantine Cantzos, Petros Kalantonis, Aristidis Papagrigoriou, Stefanos Theotokas -- The robustness of portfolio optimization models : an empirical comparative analysis / Antonis Pavlou, Michalis Doumpos, Constantin Zopounidis -- Brokering cloud compputing : pricing models and simulation approaches / Georgia Dede, George Hatzithanasis, Thomas Kamalakis, Christos Michalakelis -- Earnings management and institutional ownership in turkey / Asl Aybars -- Measuring compliance with IFRS mandatory disclosure requirements : some evidence from Greece / Apostolos Ballas, Nicos Sykianakis, Christos Tzovas, Constantinos Vassilakopoulos -- Determinant factors of the quality management commentary reports / Alexandros E. Garefalakis, Augustinos Dimitras, Panagiotis Ballas.Includes bibliographical references and index.Summary: "This book focuses on the consequences of the recent and prior financial crises. It also explores the relation between stock market and macroeconomics factors, earnings management, portfolio and pricing models as well as the reporting of accounting information and accounting standards"--