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Investor sentiment effect in stock markets: Stock characteristics or country-specific factors?
The cross section of conditional mutual fund performance in European stock markets
Risk contagion in the north-western and southern European stock markets
Characterizing emerging European stock markets through complex networks: From local properties to self-similar characteristics
Size, value and liquidity. Do They Really Matter on an Emerging Stock Market?
Price jumps in Visegrad-country stock markets: An empirical analysis
Transition to the Euro and its impact on country portfolio diversification
Dynamic correlation analysis of financial contagion: Evidence from the Central and Eastern European markets
Interest rate sensitivity of the European stock markets before and after the euro introduction
Cashflow news, the value premium and an asset pricing view on European stock market integration
Dynamic European stock market convergence: Evidence from rolling cointegration analysis in the first euro-decade
The euro area stock market channel: Does one size fit all?
Sudden changes in volatility: The case of five central European stock markets
Psychological barriers in European stock markets: Where are they?
Investing in European stock markets for high-technology firms
An investigation of the benefits of portfolio investment in Central and Eastern European stock markets
Interdependence between Eastern and Western European stock markets: Evidence from intraday data
Dynamic linkages between emerging European and developed stock markets: Has the EMU any impact?
Risk and return implications from investing in emerging European stock markets
Market reaction to “unsweetened” and “sweetened” rights offerings in an emerging European stock market
Financial contagion vulnerability and resistance: A comparison of European stock markets
Volatility and shocks spillover before and after EMU in European stock markets
The effects of the introduction of the euro on the volatility of European stock markets