Issue Date | Title | Author(s) |
2022 | A periodic analysis : hedge funds during bull and bear market periods | Muscat, Jessica (2022) |
2022 | The impact of corporate governance regulations on delistings in Europe and North America | Zammit, Ingrid (2022) |
2022 | A study into quantitative algorithmic trading and its ability to generate abnormal returns in equity investing | Giordimaina, Joseph (2022) |
2022 | The impact of FATF greylisting on banks and asset managers in Malta | Belli, Nikolai (2022) |
2022 | An analysis on the reputation of credit rating agencies | Calleja, Omar (2022) |
2022 | The integration of digital banking with traditional banking values | Lyu, Qiushi (2022) |
2022 | Analysing the tracking errors of sustainable equity exchange traded funds (ETFs) | Axiaq, Cassandra Victoria (2022) |
2022 | Social media is a prominent force in today’s banking world : a study of the efficacy of social media as a sales driver and the consequences it has on customer retention for Maltese banks | Mifsud, Wayne (2022) |
2022 | Implications of low and negative interest rates on bank profitability and the stock market | Agius, Ylenia (2022) |
2022 | A comparative analysis of active and passive portfolio management | Aquilina, Kaylee (2022) |
2022 | A comparative analysis between the EU-wide stress testing framework and the Dodd-Frank act stress testing framework | Caruana, Clare (2022) |
2022 | Determinants of stock returns in developed markets | Terribile, Gianluca (2022) |
2022 | A critical analysis of the money laundering reporting officer's role | Vella, Leandra (2022) |
2022 | The financial crisis and its impact on risk management | Camilleri, Britney (2022) |
2022 | An in-depth analysis of the implications of social media usage on retail investors | Borg, Darren (2022) |
2022 | Changes in the Maltese banking industry | Cuschieri, Lee (2022) |
2022 | Fashionably late : a study on how the timing of a company’s entry into a market has a material impact on its performance | Borg, Jacob (2022) |
2022 | A comparative analysis of green bonds and conventional bonds | Bondin, Janette (2022) |
2022 | The development of credit risk management after the financial crisis | Camilleri, Jamie (2022) |
2022 | The optimal capital structures to maximize shareholders’ wealth | Baldacchino Caruana, Kathleen (2022) |
Collection's Items (Sorted by Submit Date in Descending order): 1 to 20 of 21