Qualitative Research in Financial Markets: Volume 5 Issue 1

Subjects:

Table of contents

Complementing a positivist approach to investment analysis with critical realism: Challenges and a way forward

Loretta O'Donnell, Robin Kramar, Maria Dyball

The purpose of this paper is to identify the challenges in adding a critical realist epistemological perspective to a positivist approach in research on listed companies…

Risk management in the Ghanaian insurance industry

Joseph Oscar Akotey, Joshua Abor

The purpose of this paper is to examine the risk management practices of life assurance firms and non‐life insurance firms.

An investigation of the role of technical analysis in Kuwait

Hesham I. Almujamed, Suzanne Fifield, David Power

The purpose of this paper is to investigate the technical methods that investors in the Kuwait Stock Exchange use to evaluate ordinary shares. The research examines the…

Post‐crisis bank liquidity risk management disclosure

Simplice A. Asongu

The purpose of this paper is to investigate post‐crisis measures banks have adopted in a bid to manage liquidity risk. It is based on the fact that the financial liquidity…

Targeting IPOs from the Central European emerging stock markets (CEESM) of Poland during the global financial crisis

Lukasz Prorokowski

The purpose of this paper is to focus on Initial Public Offering (IPO) investments, performance and activity in times of the global financial crisis.

Cover of Qualitative Research in Financial Markets

ISSN:

1755-4179

Online date, start – end:

2009

Copyright Holder:

Emerald Publishing Limited

Open Access:

hybrid

Editor:

  • Prof Bruce Burton