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Page 23 of 29
441 Alexander Jung
Created on 27 March 2017
442 Francesco Paolo Mongelli
Created on 27 March 2017
443 Gold price risk management through Nova 3 option strategy created by barrier options
Created on 27 March 2017
... increase in price of the underlying asset in case of its purchase in future. In our approach, European up and knock-in call options together with standard put and barrier put options are used for investigation ...
444 The economics of securitization: evidence from the European markets ...
Created on 27 March 2017
This paper surveys the literature examining securitization. Besides describing the economic motivation for the use of securitization, the paper provides details on securitization characteristics and players, ...
445 A study of regional trends in external debt in developing economies
Created on 27 March 2017
... of short-term external debt. Europe & Central Asia region had high level of gross external debt, high gross external debt growth rate, high percentage of variable rate external debt, high ratio of short-term ...
446 Black economic empowerment in post-1994 South Africa: ANC curse and/or socialist/communist covenant?
Created on 27 March 2017
... and what the ANC had promised to all the people of South Africa. South Africa is currently disengaging itself from the West including the Unites States of America (USA) and certain European Union (EU) ...
447 Electricity price forecasting in Turkey with artificial neural network models
Created on 27 March 2017
... electricity market in Turkey. Using gradient descent, gradient descent with momentum, Broydan, Fletcher, Goldfarb and Shanno (BFGS) and Levenberg-Marquardt algorithm with different number of neuron and ...
448 Benchmarking study on the venture capital market in the Czech Republic, Hungary and the Netherlands
Created on 27 March 2017
... of European Union is the area of venture capital financing. The second level is, then, to propose measures, whose implications could increase the effectiveness of venture capital to the business sector ...
449 A volatility-based approach to gold as a safe haven: can it explain the abnormalities in gold returns during periods of extreme financial adversity?
Created on 27 March 2017
... rates, and even Euro Area sovereign bonds (including German bunds). They estimate the SH risk premium in all cases. The authors find that investors perceive the distinction between good and bad volatility, ...
450 International socially responsible funds: financial performance and managerial skills during crisis and non-crisis markets
Created on 27 March 2017
... socially responsible funds. However, splitting their sample in funds domiciled in North America, Europe, and Asia-Pacific to account for biases due to the origin of a fund, the authors find that socially ...
451 Jeskinus Z. Mukonoweshuro ...
Created on 27 March 2017
452 State tax policy of insurance companies on different stages of insurance market development
Created on 27 March 2017
Peculiarities of taxation of insurance companies in Ukraine and Europe have been researched. Methodological principles determining the optimal level of tax burden for insurers, depending on the level ...
453 Maria Sole Staffa
Created on 27 March 2017
454 The effect of the european economic news releases to the US financial markets in the crisis period ...
Created on 27 March 2017
This paper evaluates the effect of all European economic news releases on the US financial markets for the main crisis period from June 2007 up to October 2011. Evaluation concerns Sharpe ratios, as well ...
455 The performance and risk of banks in the U.S., Europe and Japan post-financial crisis ...
Created on 27 March 2017
The author compares the performance, growth, asset mix, risk, operational efficiency, profitability and capital holdings of the 20 largest banks in Japan, the U.S. and Europe from 2003-2015. Total revenue ...
456 Positioning firms in a new business performance space: an empirical study design on Euronext listed companies ...
Created on 27 March 2017
... intellectual capital commitment and (ii) financial/market performances. Design/methodology/approach - An exploratory study design, involving 10-year data about 45 firms listed on Euronext 100, was devised. ...
457 Sustainable management compensation and ESG performance – the German case
Created on 27 March 2017
... Not only users, but also public policy are affected by the findings indicating that national and European regulations on compensation could greatly influence future CSR performance and market reactions. ...
458 Research in hospitality management and accounting: a research synthesis and analysis of current literature and future challenges
Created on 27 March 2017
... to use comparative studies that are better able to capture the characteristics of the hospitality industry. Additionally, most of the empirical studies analyzed come from European countries and statistical ...
459 European and global financial integration: some panel evidence of the convergence of interest rates ...
Created on 27 March 2017
This paper seeks to contribute to the literature on financial integration using panel estimates to test beta- and sigma-convergence across the European Union countries’ interest rates and towards two ...
460 Performance evaluation of actively managed mutual funds
Created on 27 March 2017
... and the European debt crisis before the European Central Bank (ECB) subsequently implemented the outright monetary transactions (OMT) to curb the yields in Eurozone. The risk-adjusted performance measures ...
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