Suche im EconStor Index

Filter hinzufügen:

Benutzen Sie Filter um Ihre Ergebnisse zu verfeinern.


Ergebnisse 91-100 von 221.
ErscheinungsjahrTitelAutor:innen
2021Economic policy uncertainty and cryptocurrency market as a risk management avenue: A systematic review
In: Band: 9, 2021, Heft: 9, S. 1-24
Ul Haq, Inzamam; Maneengam, Apichit; Chupradit, Supat; Suksatan, Wanich; Huo, Chunhui
2021Inventory management in SMEs operating in Polish group purchasing organizations during the COVID-19 pandemic
In: Band: 9, 2021, Heft: 4, S. 1-16
Zimon, Grzegorz; Babenko, Vitalina; Sadowska, Beata; Chudy-Laskowska, Katarzyna; Gosik, Blanka
2021Mean-reverting 4/2 principal components model: Financial applications
In: Band: 9, 2021, Heft: 8, S. 1-23
Escobar, Marcos; Gong, Zhenxian
2021Parameter learning and change detection using a particle filter with accelerated adaptation
In: Band: 9, 2021, Heft: 12, S. 1-18
Gellert, Karol; Schlögl, Erik
2021Risk management in the management control system in polish local government units: Assumptions and practice
In: Band: 9, 2021, Heft: 5, S. 1-14
Mormul, Katarzyna
2021Bayesian predictive analysis of natural disaster losses
In: Band: 9, 2021, Heft: 1, S. 1-23
Deng, Min; Aminzadeh, Mostafa; Ji, Min
2021Bankruptcy prediction with a doubly stochastic poisson forward intensity model and low-quality data
In: Band: 9, 2021, Heft: 12, S. 1-24
Berent, Tomasz; Rejman, Radosław
2021Credit risk management of property investments through multi-criteria indicators
In: Band: 9, 2021, Heft: 6, S. 1-36
Locurcio, Marco; Tajani, Francesco; Morano, Pierluigi; Anelli, Debora; Manganelli, Benedetto
2021Hattendorff differential equation for multi-state Markov insurance models
In: Band: 9, 2021, Heft: 9, S. 1-19
Rajaram, Rajeev; Ritchey, Nathan
2021Improving on defaults: Helping pension participants manage financial market risk in target date funds
In: Band: 9, 2021, Heft: 4, S. 1-14
Turner, John A.; Klein, Bruce W.