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Intro; Preface; Contents; Theoretical Approaches to the Development of Economy 4.0, the Construction of a Postindustrial Society, and Their Impact on the Labor Market, Finance, Public and Social Values. Innovative Methods and Models are Mentioned as Well; 1 Modeling of Wage Payment System Choosing Task; 1.1 Introduction; 1.2 Solution to the Problem; 1.3 Model Description; 1.4 Formulas for Calculating Dependent Variables; 1.5 Modeling and Regression Analysis Results; 1.6 Conclusions; References; 2 Problems of Labor Incentives of High-Tech Enterprises in Conditions of Digitalization

2.1 Digital Economy2.2 Digital Worker; 2.3 Labor Incentives in the Digital Economy; 2.4 Conclusions; References; 3 DE Analysis of Enterprises Activity; 3.1 Introduction; 3.2 Literature Review; 3.3 Result and Discussion; 3.4 Conclusion; References; 4 Technique of Optimal Distribution of Investments in Industrial Cluster Blocks; 4.1 Introduction; 4.2 Research Methods; 4.3 Conclusion; References; 5 Game Models of Competition in the Cargo Transportation Market; 5.1 Introduction; 5.2 The Model; 5.2.1 Model Description; 5.2.2 Nash Equilibrium in the Game N

5.2.3 Equilibrium in the Modified Stackelberg Model of the Game N5.3 Computer Simulation; 5.4 Conclusions; References; 6 Labor Productivity Improvement: The Role of Remuneration in the New Qualification System; 6.1 Introduction; 6.2 Methodology; 6.3 Result; 6.4 Conclusion; References; 7 Application of Discriminate Function Analysis to Identification of Financially Unstable Banks of Russia; 7.1 Introduction; 7.2 Calculation Methodology; 7.3 Results of Numerical Simulation; 7.4 Methods of the Bank of Russia; 7.5 Analysis of Results; 7.6 Conclusion; References

8 Analysis of the Russian and World Marker of Telemedicine and Biochipping: Features and Development Prospects8.1 Introduction; 8.2 Telemedicine in Russia and the World; 8.3 Biochipping in Russia and the World; 8.4 Indicators of Improving the Efficiency of Treatment of Patients Using Telemedicine and Biochipping; 8.5 Conclusion; References; The Creation and Implementation of Cryptocurrencies and Block Chain Technology; 9 Copula Models Comparison for Portfolio Risk Assessment; 9.1 Introduction; 9.2 Dataset and Methodology; 9.2.1 Dataset; 9.2.2 Data Processing

9.2.3 Estimate the Parameters of the Marginal Distributions9.2.4 Estimate the Copula Parameters; 9.3 Portfolio Application; 9.3.1 Mean-Conditional-Value-at-Risk Portfolio Optimization; 9.3.2 Stability Study and Risk Measure Curve; 9.4 Discussion and Conclusion; References; 10 Constructing a Risky Optimal Mean/Value-at-Risk Portfolio; 10.1 Introduction; 10.2 Basic Framework; 10.3 Empirical Results; 10.4 Conclusion; References; 11 Consumer Resistance to Digitalization on the Digital Platform Market: Preliminary Analysis; 11.1 Introduction; 11.2 Digital Platforms and Resistance to Digitalization; 11.3 Literature Review

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