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341
Mezzanine momentum: A cross-continental examination of corporate financing trends
Published 2024-01-01“…This study aims to investigate the nature and patterns of mezzanine debt financing and agreements at the global and regional levels, seeking to understand the trends and differences in its funding flows and deal movements across various continents so that businesses looking to grow abroad might use this analysis to identify places where mezza-nine finance is more accessible or advantageous. Moreover, investors can select the most appealing markets and conditions for mezzanine investments, thus improving their portfolios.…”
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342
Profitable portfolio using fermatean fuzzy numbers
Published 2024-03-01“…The main feature of this model is that investors can select a risk coefficient to enhance predicted returns and customize their strategies according to their circumstances. …”
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343
Navigating Auditing Risks in the Crypto Asset Landscape
Published 2025-02-01“…The findings offer valuable insights for auditors, policymakers, investors, researchers, and practitioners who rely on accurate audits to make informed decisions and build trust and transparency in the crypto ecosystem.…”
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344
CZECHOSLAVAK CAPITAL IN INTERWAR YUGOSLAVIA: ECONIMIC INFLUENCE AND INVESTMENTS
Published 2024-10-01“…However, they also highlight the complex dynamics of economic integration and foreign influence in interwar Yugoslavia, shedding light on the nuanced relationship between Czechoslovak investors and the Yugoslav economy. …”
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345
Tail Risk in the Chinese Vegetable Oil Market: Based on the EGAS-EVT Model
Published 2022-01-01“…The study demonstrated that the EGAS-POT models based on nonparametric quantile thresholds can effectively characterise tail risk and provide a feasible measure of risk for investors.…”
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346
The Effect of Tax Planning, Profitability, and Leverage on Company Value with Company Size as a Moderating Variable (Empirical Study of Manufacturing Companies Listed on the Indone...
Published 2025-02-01“…The results of this study are expected to provide insight to investors in making investment decisions and to company management to increase company value through tax planning, profitability, and leverage that are managed effectively. …”
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347
Thibault Darcillon, Économie politique de la libéralisation financière. Les réformes de dérégulation financière et de corporate governance dans les pays de l’OCDE
Published 2013-12-01“…Financial liberalization and the rise of institutional investors have directly affected the way of firms’ financing. …”
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348
Portfolio Selection with Liability and Affine Interest Rate in the HARA Utility Framework
Published 2014-01-01“…This paper studied an asset and liability management problem with stochastic interest rate, where interest rate is assumed to be governed by an affine interest rate model, while liability process is driven by the drifted Brownian motion. The investors wish to look for an optimal investment strategy to maximize the expected utility of the terminal surplus under hyperbolic absolute risk aversion (HARA) utility function, which consists of power utility, exponential utility, and logarithm utility as special cases. …”
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349
EFFICIENT BUSINESS MODEL AS A BASIS FOR THE GROWTH OF THE INVESTMENT COST OF A PROFESSIONAL SPORTS CLUB
Published 2019-06-01“…The arguments, that the financial rules, introduced by Union of European Football Associations, will make football clubs profitable projects attractive to investors, are given in the article.…”
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350
Presenting a model to explain unfavorable risk and favorable risk according to psychological variables in predicting market fluctuations in the Iranian capital market.
Published 2024-09-01“…Smart decision-making and proper management of risks can help preserve investors' capital and increase their returns (Cortes et al, 2020). …”
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351
La valeur économique comme fait social : la preuve par les évaluations boursières
Published 2015-12-01“…The market dominates the investors that follow its direction and not the way around as it is said by the marginalist approach. …”
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352
THE POSSIBILITY OF FORMING AN EFFECTIVE MECHANISM ATTRACTING FOREIGN INVESTMENTS IN THE ELECTRIC POWER INDUSTRY OF THE RUSSIAN FEDERATION: STRESS TESTING AND REAL OPTIONS METHOD
Published 2016-12-01“…Using the proposed method of real options in a new investment mechanism can reduce the negative impact from the implementation of shock risks and to provide a systematic approach to the regulation of the industry, which will increase its attractiveness for foreign investors.…”
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353
Development of exchange and over-the-counter derivatives of financial instruments in Russia
Published 2022-02-01“…The most important conclusions of the study are that the derivatives market has developed rapidly since 2013, but in 2021 it witnessed a significant increase due to the appeal of a large number of investors to invest in financial markets, and due to increased concern about the volatility of the exchange rate, due to which many dealers dealing in derivatives buy these instruments sometimes for the purpose of hedging, and at other times for the purpose of speculation or both.…”
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354
PORTFOLIO OPTIMIZATION WITH LINEAR PROGRAMMING BASED ON TRAPEZOIDAL FUZZY NUMBERS
Published 2019-12-01“…In today's developing financial markets, variouscomplex techniques are used in the creation of portfolios that will provide thebest return to the investors. In this study, a portfolio selection model thatincludes investment data and expert opinions is proposed. …”
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355
Generation of predictive price and trading volume patterns in a model of dynamically evolving free market supply and demand
Published 2001-01-01“…The consideration of dynamically evolving supply and demand in this model resolves the apparent contradiction with the Efficient Market Hypothesis: perceptions of imprecise equity values by a world of investors evolve over non-negligible periods of time, with dependence on price history.…”
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356
Telecommunication Networks in Germany — Expanding with a Public Company
Published 2020-08-01“…However, the quality of the existing infrastructure offers little incentive for private investors to adapt their infrastructure to future needs. …”
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357
Analysis of Option Butterfly Portfolio Models Based on Nonparametric Estimation Deep Learning Method
Published 2023-01-01“…The empirical analysis shows that the SPD function estimated by using single-index nonparametric option model can effectively calculate the option butterfly portfolio returns with the minimum option strike price interval and provide an effective reference tool for risk-averse investors with limited risk preferences.…”
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358
Implementation of infrastructure investment projects
Published 2020-10-01“…Infrastructure projects can be financed from several sources of budgets of all levels, off-budget funds, private investors ’ funds, joint and project financing, concession agreements, foreign investments and bank loans with a minimum interest rate.…”
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359
Le plan de sauvetage de Chypre : frein ou accélérateur du risque systémique en Europe ?
Published 2013-06-01“…The partial taxation of deposits and the adoption of exchange controls drastically violate the pact of trust that binds far investors and their banks. Cyprus has been under de facto economic tutelage.…”
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360
Florida Marine Baitfish Aquaculture - Marketing Opportunities and Challenges (Part 1 of a Marine Baitfish Aquaculture Series)
Published 2023-03-01“…It should help farmers, potential farmers, and perhaps investors understand the potential scale, opportunities, and challenges of live baitfish aquaculture in Florida. …”
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