Search

Add filters:

Use filters to refine the search results.


Results 221-230 of 1959.
Year of PublicationTitleAuthor(s)
2022Methodological foundations of the risk of the stock markets of developed and developing countries in the conditions of the crisisBurkalʹceva, D. D.; Niyazbekova, Shakizada; Borsch, Lyudmila; Jallal, Mir Abdul Kayum; Apatova, Nataliya; Nurpeisova, Ardak; Semenov, Alexander; Zhansagimova, Ayagoz
2020Overreaction in the REITs market: New evidence from quantile autoregression approachNgene, Geoffrey M.; Manohar, Catherine Anitha; Julio, Ivan F.
2019Improved covariance matrix estimation for portfolio risk measurement: A reviewSun, Ruili; Ma, Tiefeng; Liu, Shuangzhe; Sathye, Milind
2022Implementation risk factors of collaborative housing in Poland: The case of 'Nowe Zerniki' in Wroc±awLis, Piotr; Rataj, Zuzanna; Suszyńska, Katarzyna
2022Price and volatility transmissions among natural gas, fertilizer, and corn markets: A revisitYang, Zhengliang; Du, Xiaoxue; Lu, Liang; Tejeda, Hernan
2021The Initial Coin Offering (ICO) process: Regulation and risksKarpenko, Oksana A.; Blokhina, Tatiana K.; Chebukhanova, Lali V.
2021A new approach for risk of corporate bankruptcy assessment during the COVID-19 pandemicBoratyńska, Katarzyna T.
2022Portfolios under different methods and scenarios: A case of Fiji's South Pacific stock exchangeKumar, Ronald Ravinesh; Stauvermann, Peter
2022Disclosure of risks and opportunities in the integrated reports of South African banksRamabulana, Khuthadzo; Moosa, Riyad
2021How can enterprise risk management help in evaluating the operational risks for a telecommunications company?Ruiz-Canela López, José