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| Investment management and financial innovations : intern. research j..- Sumy Investytsiinyi menedzhment ta finansovi innovatsii- Title.
- Contents.
- Hull R. M. A capital structure model (CSM) with tax rate changes. - C. 8-21.
- Barra C., Bimonte G., Spennati P. Governance and efficiency of fiscal institutions. - C. 22-27.
- Wynne K., Filante R. Investor behavior in a university student managed portfolio. - C. 28-33.
- Naccarato A., Pierini A. Element-by-element estimation of a volatility matrix. An Italian portfolio simulation. - C. 34-43.
- Wanderlei Lima de Paulo, Oswaldo Luiz do Valle Costa Cluster analysis for regime identification and forecasting with application to the enhanced index tracking problem. - C. 44-52.
- Coppola M., D'Amato V. Basis risk in solvency capital requirements for longevity risk. - C. 53-57.
- Maduku D. K. Behavioural intention towards mobile banking usage by South African retail banking clients. - C. 58-72.
- Sudeck K., Iatridis G. Female board appointments and stock market reactions: evidence from the German stock market. - C. 73-80.
- Aumeboonsuke V. The vitality of beta in the Asean stock markets. - C. 81-86.
- Andreeva E., Nechaev A. The improvement of the organization of operational business processes of innovation enterprise using various forms of financing. - C. 87-98.
- Horng M.-S., Chou J.-H., Hsieh C.-M. The effect of 2008 financial crisis on trade credit: empirical evidences from Taiwan, China, Hong Kong, Japan and Korea. - C. 99-109.
- Meltenisova E., Meltenisova E. Financial management in electric utilities on liberalized market: cross-country analysis. - C. 110-115.
| 2014 | Vol. 11 | Iss. 3
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