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141
THE APPLICATION OF MODERN TOOLS OF PREINVESTMENT ANALYSIS
Published 2019-05-01“…In addition to financial quantitative indicators, it is important for a potential investor to assess other types of risks, that he may face during the implementation of the investment project. …”
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142
ICO AND STO AS MODERN TOOLS FOR CROWDFUNDING STARTUPS
Published 2020-04-01“…A new way of attracting capital by startups based on the blockchain such as ICO (initial coin offering) is similar to crowdfunding, selling produced tokens to the pool of investors. With the assistance of this source, startups collected 22 billion dollars in 2018, but in 2019 the market began to fall, so many researchers noted the danger of the ICO bubble. …”
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143
An Empirical Analysis of Oil and Stock Markets’ Volatility Based on the DGC-MSV-t Model
Published 2021-01-01“…The cross-market spillover effect we found can give some advices for the investor of oil and stock market. DIC test shows that DGC-MSV-t is considered effective and more accurate.…”
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144
An Entropy Model of Credit Risk Contagion in the CRT Market
Published 2015-01-01“…This paper reports the effect of the change in the credit status of debtors on investors as a result of the banks’ transferring of credit risk to investors in the credit risk transfer (CRT) market. …”
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145
Mathematical Modelling of Growth Dynamics of Infant Financial Markets
Published 2020“…We find that the impact of single investor on the market is dependent on the rate at which people choose to invest and the rate at which people leave the market due to non investment-related issues.…”
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146
Fraud Research in Economic Entities – A Conceptual Perspective
Published 2025-02-01“…National and global economies are severely affected by fraud by economic entities through significant financial losses, diminished investor confidence and the creation of financial market imbalances. …”
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147
Relacje inwestorskie jako narzędzie kształtowania reputacji spółek giełdowych
Published 2013-12-01“…Dwustronny proces komunikacji między spółkami giełdowymi a interesariuszami jest obszarem działania relacji inwestorskich (Investor Relations - IR). Podstawowe korzyści wynikające ze skutecznie prowadzonych relacji inwestorskich to redukcja kosztów pozyskania kapitału, wyższa płynność akcji i rzetelna wycena wartości spółki, zwiększenie poziomu zaufania i osiągnięcie pożądanej reputacji przedsiębiorstwa. …”
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148
SELECTION OF INVESTMENT PROJECTS IMPLEMENTATION OPTIONS
Published 2020-06-01“…Recommendations for using the indicator of the of the investor’s total stated costs have been given.…”
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149
Do Local and World COVID-19 Media Coverage Drive Stock Markets? Time-Frequency Analysis of BRICS
Published 2022-01-01“…The role of media coverage as a proxy for investor sentiments has led to the assessments of the impact of COVID-19 media coverage on financial markets. …”
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150
Relacje inwestorskie jako narzędzie kształtowania reputacji spółek giełdowych
Published 2013-12-01“…Dwustronny proces komunikacji między spółkami giełdowymi a interesariuszami jest obszarem działania relacji inwestorskich (Investor Relations - IR). Podstawowe korzyści wynikające ze skutecznie prowadzonych relacji inwestorskich to redukcja kosztów pozyskania kapitału, wyższa płynność akcji i rzetelna wycena wartości spółki, zwiększenie poziomu zaufania i osiągnięcie pożądanej reputacji przedsiębiorstwa. …”
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151
On the Computation of the Efficient Frontier of the Portfolio Selection Problem
Published 2012-01-01“…This information is useful for performing a sensitivity analysis as well as for providing additional criteria to the investor in order to select an efficient portfolio. …”
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152
État actionnaire et capitalisme de connivence au Maroc : le cas de la Caisse de dépôt et de gestion (CDG)
Published 2021-07-01“…In this article, we analyse the track record of the Moroccan state-owned institutional investor, the Caisse de dépôt et de gestion (CDG). …”
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153
Multiperiod Telser’s Safety-First Portfolio Selection with Regime Switching
Published 2018-01-01“…This paper investigates a multiperiod Telser’s safety-first portfolio selection model with regime switching where the returns of the assets are assumed to depend on the market states modulated by a discrete-time Markov chain. The investor aims to maximize the expected terminal wealth and does not want the probability of the terminal wealth to fall short of a disaster level to exceed a predetermined number called the risk control level. …”
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154
EVIDENCE OF TIME-VARYING HERDING BEHAVIOR FROM THE VIETNAMESE STOCK MARKET
Published 2017-03-01“…Using a regression model of the cross-sectional dispersion in stock returns, this study investigates investor herding behavior in Vietnamese stock market spanning the period from June 01, 2007 to November 30, 2015. …”
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155
The impact of futures trade on the informational efficiency of the U.S. REIT market
Published 2025-01-01“…These findings suggest that policymakers should carefully monitor investor trading motives in the U.S. REITs market and consider revising market regulations to enhance liquidity, ensuring that increased liquidity does not primarily result from heightened speculative demand.…”
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156
Feasibility study of new functions in ancient urban context in Shah Abbasi of Karaj
Published 2023-09-01“…The results of the implementation of the Suara model showed that among the indicators identified for the social dimension, the role of owner-investor participation index with a final score of 0.224 was ranked first, for the economic dimension, the index of participation in purchase and construction and Builder in the range with a final score of 0.306 in the first rank, for the physical dimension Paying attention to meet the current needs for physical and functional change with a score of 0.416 in the first rank, and for the environmental dimension Indicator Role of New Construction in the Area Infrastructure With a score of 0.610, it is the highest.…”
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157
A Multi-Objective Approach to Portfolio Optimization Problem Using the Analytic Hierarchy Process (AHP) and Genetic Algorithm
Published 2022-03-01“…After the introduction of the model as linear programming and expressing the related limitations, different types of investments which an investor can consider in order to form an investment portfolio were studied. …”
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158
The Management and Evaluation of Independent Project Portfolios under Uncertainty and Projects Incompatibility
Published 2020-09-01“…The restrictive criterion for the investor in selecting large-scale portfolios is the limited available budget and capital that determine which projects are economic and can be selected. …”
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159
The Dollar and Gold: Which is the Safest Haven? COVID-19 Evidence
Published 2023-01-01“…The results indicate that gold can be considered the safest haven from the investors’ perspective.…”
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160
Accompagner sans financer : une nouvelle doctrine d’investissement de l’État au capital des ETI
Published 2021-07-01“…How far does the state act like a private investor? What are the doctrines and the investment practices of the shareholder state? …”
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