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Chapter 1. The relationship between ethnic diversity and stock market development: A global perspective
Chapter 2. Does Withholding Tax Reduce International Income-Shifting by FDI?
Chapter 3. The relationship between trading volume and returns volatility on Warsaw Stock Exchange
Chapter 4. Factors influencing individual investor participation in stock market
Chapter 5. Model Risk of VaR and ES using Monte Carlo: Study on Financial Institutions from Paris and Frankfurt Stock Exchanges
Chapter 6. Tick Size Reduction and Liquidity Dimensions- Evidence from an Emerging Market
Chapter 7. Cryptocurrency portfolio construction using machine learning models
Chapter 8. Development factors of blockchain technology within banking sector
Chapter 9. Does competition matter for the effects of macroprudential policy on bank asset growth?
Chapter 10. Systemic risk in selected countries of Western and Central Europe
Chapter 11. Industry and Size Effect in the Relation between Corporate Material and Financial Decisions: Findings from the EU Countries
Chapter 12. Technology level and financial constraints of public listed companies
Chapter 13. Differences in use of credit products between the old and new member states of the European Union
Chapter 14. Diversified risky financial assets in portfolios of risk-averse households- what determines their occurrence?
Chapter 15. Financial Behavior: Preliminary Survey Results.

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