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Publications by Gary James Clayton
Using Financial Ratios and Managing Financial Risks in Investing in “Grey” Zone Companies: Evidence From Malaysia
International Journal of Finance and Accounting Studies
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The Feasibility and Risks of Investing in Modern Financial Instruments
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Can Financial Ratios Influence the Stock Returns of Financial Sector Companies in Austria?
Acta academica karviniensia
Financial Derivatives, Financial Leverage, Intangible Assets, and Transfer Pricing Aggressiveness: Evidence From Indonesian Companies
Jurnal Dinamika Akuntansi dan Bisnis
The Causality Relationship Between Financial Market Indexes and Financial Ratios: Evidence From Amman Stock Exchange
International Journal of Academic Research in Accounting, Finance and Management Sciences
Market Capitalization and Financial Variables: Evidence From Italian Listed Companies
International Journal of Academic Research in Business and Social Sciences
Taming Grey Rhinoceros: China Needs to Release Financial Risks Urgently
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Financial Dollarization and Systemic Risks: New Empirical Evidence
Journal of International Money and Finance
Economics
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Financial Development and Income Inequality: Evidence From African Countries in the Franc Zone
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Assessing Financial Reporting Quality of Listed Companies in Developing Countries: Evidence From Ghana
International Journal of Economics and Finance