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Application of Multicriteria Decision Analysis Approach Managing Solar Prosumer Choices: Implications for Households, Regulatory Authorities, and Contractors.
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- Technical Gazette / Tehnički Vjesnik, 2024, v. 31, n. 5, p. 1786, doi. 10.17559/TV-20240311001391
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- Article
An Analysis of the Expense Ratio Pricing of SMB, HML, and UMD Exposure in U.S. Equity Mutual Funds.
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- Journal of Portfolio Management, 2016, v. 43, n. 1, p. 138, doi. 10.3905/jpm.2016.43.1.138
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- Article
Rapid flood risk screening model for compound flood events in Beira, Mozambique.
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- Natural Hazards & Earth System Sciences, 2020, v. 20, n. 10, p. 2633, doi. 10.5194/nhess-20-2633-2020
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- Article
Application of GARCH Models for Volatility Modeling of Stock Market Returns: Evidence from Indian Stock Exchange.
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- IUP Journal of Accounting Research & Audit Practices, 2021, v. 20, n. 2, p. 45
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- Article
Developing and validating a hierarchical model of external responsiveness: A study on RFID technology.
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- Information Systems Frontiers, 2015, v. 17, n. 1, p. 109, doi. 10.1007/s10796-014-9503-8
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- Article
The Market Liquidity Timing Skills of Debt-oriented Hedge Funds.
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- European Financial Management, 2017, v. 23, n. 1, p. 32, doi. 10.1111/eufm.12090
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- Article
Nationalism and Economic Exchange: Evidence from Shocks to Sino-Japanese Relations.
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- Review of Financial Studies, 2014, v. 27, n. 9, p. 2626, doi. 10.1093/rfs/hhu017
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- Article
Combining Banking with Private Equity Investing.
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- Review of Financial Studies, 2013, v. 26, n. 9, p. 2139, doi. 10.1093/rfs/hht031
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- Article
CSR-based Differentiation Strategy of Export Firms From Developing Countries.
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- Business & Society, 2015, v. 54, n. 6, p. 723, doi. 10.1177/0007650312473728
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- Article
A Model-Free Measure of Aggregate Idiosyncratic Volatility and the Prediction of Market Returns.
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- Journal of Financial & Quantitative Analysis, 2014, v. 49, n. 5/6, p. 1133, doi. 10.1017/S0022109014000489
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- Article
Measuring corporate Paris Compliance using a strict science-based approach.
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- Nature Communications, 2022, v. 13, n. 1, p. 1, doi. 10.1038/s41467-022-31143-4
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- Article
Measuring corporate Paris Compliance using a strict science-based approach.
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- Nature Communications, 2022, v. 13, n. 1, p. 1, doi. 10.1038/s41467-022-31143-4
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- Article
OPTIMISING INVESTMENT DECISIONS IN R&D INTENSIVE PRIVATE MICRO-ENTITIES USING GAME THEORY.
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- Interdisciplinary Description of Complex Systems, 2023, v. 21, n. 5, p. 514, doi. 10.7906/indecs.21.5.6
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- Article
Do Persistent Fund Alphas Indicate Manager Skill?
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- Proceedings of the Northeast Business & Economics Association, 2017, p. 51
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- Article
The Private Interests of Public Officials: Financial Regulation in the US Congress.
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- Legislative Studies Quarterly, 2021, v. 46, n. 1, p. 49, doi. 10.1111/lsq.12294
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- Article
A Study of Investment Style Timing of Mutual Funds in India.
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- Asia-Pacific Financial Markets, 2023, v. 30, n. 1, p. 49, doi. 10.1007/s10690-022-09368-6
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- Article
A Managed Volatility Investment Strategy for Pooled Annuity Products.
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- Risks, 2022, v. 10, n. 6, p. N.PAG, doi. 10.3390/risks10060121
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- Article
Pension Fund Management, Investment Performance, and Herding in the Context of Regulatory Changes: New Evidence from the Polish Pension System.
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- Risks, 2021, v. 9, n. 1, p. 6, doi. 10.3390/risks9010006
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- Article
The Impact of Management Fees on the Pricing of Variable Annuity Guarantees.
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- Risks, 2018, v. 6, n. 3, p. 103, doi. 10.3390/risks6030103
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- Article
Rapid flood risk screening model for compound flood events in Beira, Mozambique.
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- Natural Hazards & Earth System Sciences Discussions, 2020, p. 1, doi. 10.5194/nhess-2020-56
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- Article
Can hedge funds benefit from corporate social responsibility investment?
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- Financial Review, 2021, v. 56, n. 2, p. 251, doi. 10.1111/fire.12261
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- Article
Endogenous Credit, Business Cycle, and Portfolio Selection.
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- Operations Research, 2024, v. 72, n. 3, p. 871, doi. 10.1287/opre.2021.0351
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- Article
Sentiments–Risk Relationship across the Corporate Life Cycle: Evidence from an Emerging Market.
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- Economies, 2021, v. 9, n. 3, p. 111, doi. 10.3390/economies9030111
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- Article
Impact of Brexit on Construction Stocks listed on Bursa Malaysia.
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- KnE Social Sciences, 2019, v. 2019, p. 176, doi. 10.18502/kss.v3i22.5050
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- Article
Ultraviolet radiation changes plant color.
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- BMC Plant Biology, 2020, v. 20, n. 1, p. 1, doi. 10.1186/s12870-020-02471-8
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- Article
LOS CICLOS Y LAS VALORACIONES DEL MERCADO.
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- Debates IESA, 2021, v. 26, n. 1, p. 11
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- Article
EL REINADO DE LAS EMPRESAS DE BAJA CAPITALIZACIÓN BURSÁTIL.
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- Debates IESA, 2020, v. 25, n. 4, p. 11
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- Article
An Investor Perspective on the Black Box of Corporate Social Responsibility.
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- Journal of Applied Corporate Finance, 2019, v. 31, n. 2, p. 92, doi. 10.1111/jacf.12351
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- Article
Cognitive Biases on the Iran Stock Exchange: Unsupervised Learning Approach to Examining Feature Bundles in Investors' Portfolios.
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- Applied Sciences (2076-3417), 2021, v. 11, n. 22, p. 10916, doi. 10.3390/app112210916
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- Article
Estimating Cost of Equity: Do You Need to Adjust for Foreign Exchange Risk?
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- Journal of International Financial Management & Accounting, 2016, v. 27, n. 1, p. 5, doi. 10.1111/jifm.12031
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- Article
Exposure Time and Market Value.
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- Appraisal Journal, 2014, v. 82, n. 4, p. 330
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- Article
Does International Economic Integration Lead to a Cleaner Production in China?
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- Production & Operations Management, 2014, v. 23, n. 4, p. 525, doi. 10.1111/poms.12087
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- Article
SELL IN MAY WITH A LINDSAY OVERLAY.
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- Journal of Technical Analysis, 2016, n. 69, p. 13
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- Article
The market for private student loans: an analysis of credit union exposure, risk, and returns.
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- Review of Quantitative Finance & Accounting, 2018, v. 50, n. 4, p. 1227, doi. 10.1007/s11156-017-0660-y
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- Article
Combining Approaches of Analysis: The Integrated Risk Indicator Matrix.
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- Journal of Performance Measurement, 2015, v. 20, n. 1, p. 40
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- Article
Does Fossil Fuel Financing Affect Banks' ESG Ratings?
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- Energies (19961073), 2022, v. 15, n. 4, p. 1495, doi. 10.3390/en15041495
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- Article
Do Foreign Buyers Pay More Than Domestic Buyers? Evidence from International Transaction-Level Data.
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- Journal of Real Estate Finance & Economics, 2024, v. 68, n. 3, p. 394, doi. 10.1007/s11146-022-09937-6
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- Article
Impact of Dynamic Risk Strategy of Mutual Funds on their Performance: Evidence from Indian Equity Mutual Funds.
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- South Asian Journal of Management, 2018, v. 25, n. 1, p. 108
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- Article
Differences in Trading and Pricing Between Stock and Index Options.
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- Management Science, 2014, v. 60, n. 8, p. 1985, doi. 10.1287/mnsc.2013.1841
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- Article
صيغ التمويل الإسلامي من منظور اقتصاد المشاركة
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- Global Journal of Economics & Business, 2020, v. 8, n. 2, p. 240, doi. 10.31559/GJEB2020.8.2.5
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- Article
Large exposure estimation through automatic business group identification.
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- Annals of Operations Research, 2016, v. 247, n. 2, p. 503, doi. 10.1007/s10479-015-1952-z
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- Article
Multi-period cardinality constrained portfolio selection models with interval coefficients.
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- Annals of Operations Research, 2016, v. 244, n. 2, p. 545, doi. 10.1007/s10479-016-2117-4
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- Article