Search

Add filters:

Use filters to refine the search results.


Results 1701-1710 of 1959.
Year of PublicationTitleAuthor(s)
2022The worst case GARCH-copula CVaR approach for portfolio optimisation: Evidence from financial marketsAlotaibi, Tahani S.; Dalla Valle, Luciana; Craven, Matthew J.
2022Multiscale partial correlation clustering of stock market returnsMichis, Antonis A.
2022Global social sustainability and inclusion: The "voice" of social and environmental imbalancesKrysovatyy, Andriy; Zvarych, Iryna; Brodovska, Oksana; Zvarych, Roman
2022Non-parametric statistic for testing cumulative abnormal stock returnsPynnönen, Seppo
2021Simultaneous analysis of insurance participation and acreage response from subsidized crop insurance for cottonSall, Ibrahima; Tronstad, Russell
2021Foreign direct investment in GCC countries: The essential influence of governance and the adoption of IFRSSiriopoulos, Costas; Tsagkanos, Athanasios; Svingou, Argyro; Daskalopoulos, Evangelos
2021Determinants of bank M&As in Central and Eastern EuropeAndrieş, Alin Marius; Cazan, Sabina; Sprincean, Nicu
2018Effectiveness of interest rate policy of the Fed in management of subprime mortgage crisisGunay, Samet; Georgievski, Bojan
2021The event of Croatia's EU accession and membership from the Croatian high school students' perspectivePisarović, Anamarija; Tišma, Sanja; Dujmović, Krševan Antun; Škrtić, Mira Mileusnić
2021The role of board independence and ownership structure in improving the efficacy of corporate financial distress prediction model: Evidence from IndiaShetty, Shilpa H.; Vincent, Theresa Nithila