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Загальна кількість знайдених документів : 1
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| Financial markets, institutions and risks : intern. research j..- Sumy Finansovi rynky, ustanovy ta ryzyky- Title.
- Contents.
- Khan K., Qingyang W., Khurshid A. Causal Relationship between Monetary Policy and the Stock Market: a Bootstrap Rolling Window Approach. - C. 5-15.
- Koziuk V. Transformation of Bank Capital Regulation in Ukraine: the Role of Institutional Distortions. - C. 16-23.
- Jayasundera M. Ancient Sri Lankan Economic Systems. - C. 24-27.
- Mazloumfard H., Glantz V. The influence of tax burden on the profit of banks in conditions of monopolistic competition: economic-mathematical modeling. - C. 28-36.
- Alibeki H., Samsonov M. Stress testing and elements of consolidated supervision as key instruments for enhanced risk-oriented monitoring of banks’ activities. - C. 37-46.
- Musa H., Musova Z., Sliacky P. Financial Support to Small and Medium-Sized Enterprises in Slovakia. - C. 47-52.
- Dave H. Simple annals of Money. - C. 53-64.
- Riashchenko V., Kremen V., Bochkarova T. A Discriminant Analysis of Insurance Companies in Ukraine. - C. 65-73.
- Palienko M., Lyulyov O., Denysenko P. Fiscal Decentralisation as a Factor of Macroeconomic Stability of the Country. - C. 74-86.
- Subeh M. A., Yarovenko H. Data Mining of Operations with Card Accounts of Bank Clients. - C. 87-95.
| 2017 | Vol. 1 | Iss. 4
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