001437400 000__ 05317cam\a2200637\i\4500 001437400 001__ 1437400 001437400 003__ OCoLC 001437400 005__ 20230309004146.0 001437400 006__ m\\\\\o\\d\\\\\\\\ 001437400 007__ cr\un\nnnunnun 001437400 008__ 210616s2021\\\\sz\a\\\\o\\\\\100\0\eng\d 001437400 019__ $$a1257076582 001437400 020__ $$a9783030736675$$q(electronic bk.) 001437400 020__ $$a3030736679$$q(electronic bk.) 001437400 020__ $$z9783030736668 001437400 020__ $$z3030736660 001437400 0247_ $$a10.1007/978-3-030-73667-5$$2doi 001437400 035__ $$aSP(OCoLC)1256628288 001437400 040__ $$aYDX$$beng$$erda$$epn$$cYDX$$dGW5XE$$dEBLCP$$dOCLCO$$dOCLCF$$dUKAHL$$dOCLCQ$$dCOM$$dOCLCO$$dOCLCQ 001437400 049__ $$aISEA 001437400 050_4 $$aHG63$$b.W76 2020 001437400 08204 $$a332$$223 001437400 1112_ $$aWrocław International Conference in Finance$$n(6th :$$d2020 :$$cOnline) 001437400 24510 $$aContemporary trends and challenges in finance :$$bproceedings from the 6th Wrocław International Conference in Finance /$$cKrzysztof Jajuga, Hermann Locarek-Junge, Lucjan T. Orlowski, Karsten Staehr, editors. 001437400 24630 $$a6th Wrocław International Conference in Finance 001437400 264_1 $$aCham :$$bSpringer,$$c[2021] 001437400 264_4 $$c©2021 001437400 300__ $$a1 online resource :$$billustrations (some color) 001437400 336__ $$atext$$btxt$$2rdacontent 001437400 337__ $$acomputer$$bc$$2rdamedia 001437400 338__ $$aonline resource$$bcr$$2rdacarrier 001437400 4901_ $$aSpringer proceedings in business and economics,$$x2198-7246 001437400 500__ $$aInternational conference proceedings. 001437400 500__ $$a"This volume presents papers from the 6th Wrocław International Conference in Finance held at Wrocław University of Economics and Business via video conferencing on September 22-23, 2020"--Preface 001437400 504__ $$aReferences-The Relationship Between Trading Volume and Returns Volatility on Warsaw Stock Exchange-1 Introduction-2 Methodology-2.1 Conditional Variance-Volume Relation-2.2 Trading Volume and Price Movement Direction in Conditional Variance-3 Data-4 Results-5 Conclusions-References-Factors Influencing Individual Investor Participation in Stock Market-1 Introduction-2 Literature Review-3 Research Methodology-3.1 Data-3.2 Findings and Discussion-4 Conclusion-References. 001437400 5050_ $$aChapter 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. 001437400 506__ $$aAccess limited to authorized users. 001437400 520__ $$aThis volume continues to highlight the latest research contributions presented at the annual Wroclaw conference in Finance (Poland), covering a wide range of topics in the field. The chapters reflect the extent, diversity, and richness of research areas, and discuss both fundamental and applied finance. A detailed analysis of current financial-market problems including specifics of Polish and Central European markets is also part of this volume. Selected chapters also examine the results of advanced financial modeling. These proceedings are a valuable resource for researchers in universities and research and policy institutions, graduate students and practitioners in economics, finance and international economics in both private and government institutions. 001437400 588__ $$aOnline resource; title from PDF title page (SpringerLink, viewed June 21, 2021). 001437400 650_0 $$aFinance$$vCongresses. 001437400 650_6 $$aFinances$$vCongrès. 001437400 655_7 $$aConference papers and proceedings.$$2fast$$0(OCoLC)fst01423772 001437400 655_7 $$aConference papers and proceedings.$$2lcgft 001437400 655_7 $$aActes de congrès.$$2rvmgf 001437400 655_0 $$aElectronic books. 001437400 7001_ $$aJajuga, Krzysztof,$$eeditor. 001437400 7001_ $$aLocarek, Hermann,$$eeditor. 001437400 7001_ $$aOrlowski, Lucjan T.,$$eeditor. 001437400 7001_ $$aStaehr, Karsten,$$eeditor. 001437400 830_0 $$aSpringer proceedings in business and economics.$$x2198-7246 001437400 852__ $$bebk 001437400 85640 $$3Springer Nature$$uhttps://univsouthin.idm.oclc.org/login?url=https://link.springer.com/10.1007/978-3-030-73667-5$$zOnline Access$$91397441.1 001437400 909CO $$ooai:library.usi.edu:1437400$$pGLOBAL_SET 001437400 980__ $$aBIB 001437400 980__ $$aEBOOK 001437400 982__ $$aEbook 001437400 983__ $$aOnline 001437400 994__ $$a92$$bISE