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Prediction techniques of movie box office using neural networks and emotional mining.
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- Scientific Reports, 2024, v. 14, n. 1, p. 1, doi. 10.1038/s41598-024-72340-z
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FINANCIAL LITERACY AND DIGITAL LITERACY TO AWARENESS OF INVESTMENT SCAMS AMONG INDONESIAN COLLEGE STUDENTS.
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- Eduvest: Journal Of Universal Studies, 2024, v. 4, n. 8, p. 7215, doi. 10.59188/eduvest.v4i8.1297
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- Article
THE EFFECTS OF FOREIGN OWNERSHIP ON CORPORATE RISK: FINDINGS FROM QUANTILE REGRESSION AND FSQCA.
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- International Journal of Business & Society, 2024, v. 25, n. 2, p. 573, doi. 10.33736/ijbs.7618.2024
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- Article
中国跨国企业在“一带一路”国家的区位选择: 关系资产的作用.
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- Journal of Northeastern University (Natural Science), 2024, v. 45, n. 5, p. 753, doi. 10.12068/j.issn.1005-3026.2024.05.019
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Beyond Compliance: How ESG Reporting Influences the Cost of Capital in UK Firms.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 8, p. 326, doi. 10.3390/jrfm17080326
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Intelligent Risk Evaluation for Investment Banking IPO Business Based on Text Analysis.
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- Information (2078-2489), 2024, v. 15, n. 8, p. 498, doi. 10.3390/info15080498
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Optimization of Asset Allocation and Liquidation Time in Investment Decisions with VaR as a Risk Measure.
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- Computational Economics, 2024, v. 64, n. 1, p. 551, doi. 10.1007/s10614-023-10451-x
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Risk spillover effect of the new energy market and its hedging effectiveness: New evidence from industry chain.
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- Economic Analysis & Policy, 2024, v. 83, p. 1061, doi. 10.1016/j.eap.2024.08.009
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- Article
Evaluation of a scheme to identify risks for tail biting in pigs.
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- PLoS ONE, 2024, v. 19, n. 8, p. 1, doi. 10.1371/journal.pone.0305960
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- Article
Climate-induced cross-border migration and change in demographic structure.
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- Population & Environment, 2019, v. 41, n. 2, p. 98, doi. 10.1007/s11111-019-00328-3
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- Article
The decumulation period of a personal pension with risk sharing: investment approach versus consumption approach.
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- Journal of Pension Economics & Finance, 2020, v. 19, n. 2, p. 262, doi. 10.1017/S1474747218000240
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- Article
Lessons for public pensions from Utah's move to pension choice.
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- Journal of Pension Economics & Finance, 2016, v. 15, n. 3, p. 285, doi. 10.1017/S1474747215000426
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Financial competence, risk presentation and retirement portfolio preferences.
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- Journal of Pension Economics & Finance, 2014, v. 13, n. 1, p. 27, doi. 10.1017/S1474747213000188
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Risk Aversion and Investment Intentions of Filipino Investors: A Moderation Study.
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- Diversitas Journal, 2023, v. 8, n. 3, p. 2748, doi. 10.48017/dj.v8i3.2676
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Inf-Convolution, Optimal Allocations, and Model Uncertainty for Tail Risk Measures.
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- Mathematics of Operations Research, 2022, v. 47, n. 3, p. 2494, doi. 10.1287/moor.2021.1217
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A Theory for Measures of Tail Risk.
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- Mathematics of Operations Research, 2021, v. 46, n. 3, p. 1109, doi. 10.1287/moor.2020.1072
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- Article
Dynamic Asset Allocation with Uncertain Jump Risks: A Pathwise Optimization Approach.
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- Mathematics of Operations Research, 2018, v. 43, n. 2, p. 347, doi. 10.1287/moor.2017.0854
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On the Tail Probabilities of Aggregated Lognormal Random Fields with Small Noise.
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- Mathematics of Operations Research, 2016, v. 41, n. 1, p. 236, doi. 10.1287/moor.2015.0724
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- Article
MAPPING THE NORTH CAUCASUS: DEMOGRAPHIC GRADIENTS AND INVESTMENT RISKS.
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- Population & Economics, 2018, v. 2, n. 1, p. 132
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- Article
Herding Behavior: Intensification and Flow in the Indonesian Stock Market.
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- Economic & Regional Studies/Studia Ekonomiczne i Regionalne, 2022, v. 15, n. 3, p. 351, doi. 10.2478/ers-2022-0024
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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
Reparative accumulation? Financial risk and investment across socio-environmental crises.
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- Environment & Planning E: Nature & Space, 2022, v. 5, n. 4, p. 2356, doi. 10.1177/25148486211030432
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The Effect of Risk and Stock Returns on the Quality of Profits of Industries Listed on the Tehran Stock Exchange.
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- Journal of Accounting, Finance & Auditing Studies, 2022, v. 8, n. 1, p. 132, doi. 10.32602/jafas.2022.006
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Effect of Expected Return, Self Efficacy, and Perceived Risk on Investment Intention: An Empirical Study on Accounting Master Degree in Udayana University, Bali.
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- Journal of Accounting, Finance & Auditing Studies, 2021, v. 7, n. 1, p. 40, doi. 10.32602/jafas.2021.002
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Life‐stage and sex influence Philornis ectoparasitism in a Neotropical woodpecker Melanerpes striatus with essential male parental care.
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- Ibis, 2023, v. 165, n. 4, p. 1235, doi. 10.1111/ibi.13221
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强非均质致密砂岩气藏已开发区井网完善方法.
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- Natural Gas Geoscience, 2020, v. 31, n. 1, p. 143, doi. 10.11764/j.issn.1672-1926.2019.09.005
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- Article
Core Versus Satellite: How Much Should a Taxable Investor Allocate to the Core Equity Portfolio?
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- Journal of Wealth Management, 2017, v. 19, n. 4, p. 35, doi. 10.3905/jwm.2017.19.4.035
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The Case for the Cautious Use of Leverage.
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- Journal of Wealth Management, 2017, v. 19, n. 4, p. 24, doi. 10.3905/jwm.2017.19.4.024
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Caveat Emptor: A Disciplined Approach to Buying at Auction.
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- Journal of Wealth Management, 2015, v. 18, n. 3, p. 121, doi. 10.3905/jwm.2015.18.3.121
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- Article
International Diversification: A Bootstrap Analysis.
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- Journal of Wealth Management, 2015, v. 18, n. 3, p. 110, doi. 10.3905/jwm.2015.18.3.110
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Risk Capacity over the Life Cycle: The Role of Human Capital, High Priority Goals, and Discretionary Wealth.
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- Journal of Wealth Management, 2015, v. 18, n. 3, p. 27, doi. 10.3905/jwm.2015.18.3.027
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Comparing Risks Among Adaptive Investment Planning Strategies.
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- Journal of Wealth Management, 2015, v. 17, n. 4, p. 50, doi. 10.3905/jwm.2015.17.4.050
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- Article
Funds of Hedge Funds: A Comparative Analysis Before, During, and After the Housing Bubble.
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- Journal of Wealth Management, 2012, v. 15, n. 2, p. 62, doi. 10.3905/jwm.2012.15.2.062
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- Article
建筑师负责制试点实施方案思考 ——以某训练基地项目为例.
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- Guangdong Architecture Civil Engineering, 2023, v. 30, n. 6, p. 102, doi. 10.19731/j.gdtmyjz.2023.06.027
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抗震构造等级问题探讨.
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- Guangdong Architecture Civil Engineering, 2023, v. 30, n. 2, p. 27, doi. 10.19731/j.gdtmyjz.2023.02.007
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Investors' Paradox.
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- Journal of Corporation Law, 2017, v. 43, n. 2, p. 245
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Short-Termism, the Financial Crisis, and Corporate Governance.
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- Journal of Corporation Law, 2012, v. 37, n. 2, p. 265
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- Article
How Do Sustainability Stakeholders Seize Climate Risk Premia in the Private Cleantech Sector?
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- Journal of Risk & Financial Management, 2023, v. 16, n. 3, p. 153, doi. 10.3390/jrfm16030153
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The Moderating Effect of Financial Knowledge on Financial Risk Tolerance.
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- Journal of Risk & Financial Management, 2023, v. 16, n. 2, p. 137, doi. 10.3390/jrfm16020137
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- Article
Financing for a Sustainable Dry Bulk Shipping Industry: What Are the Potential Routes for Financial Innovation in Sustainability and Alternative Energy in the Dry Bulk Shipping Industry?
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- Journal of Risk & Financial Management, 2023, v. 16, n. 2, p. 101, doi. 10.3390/jrfm16020101
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- Article
The Worst Case GARCH-Copula CVaR Approach for Portfolio Optimisation: Evidence from Financial Markets.
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- Journal of Risk & Financial Management, 2022, v. 15, n. 10, p. 482, doi. 10.3390/jrfm15100482
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Multiplicative Methodology for Assessing Investment Attractiveness and Risk for Industries.
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- Journal of Risk & Financial Management, 2022, v. 15, n. 10, p. 419, doi. 10.3390/jrfm15100419
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Assessing the Risk Characteristics of the Cryptocurrency Market: A GARCH-EVT-Copula Approach.
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- Journal of Risk & Financial Management, 2022, v. 15, n. 8, p. 346, doi. 10.3390/jrfm15080346
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A Generalized Entropy Approach to Portfolio Selection under a Hidden Markov Model.
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- Journal of Risk & Financial Management, 2022, v. 15, n. 8, p. 337, doi. 10.3390/jrfm15080337
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Portfolio Optimization on Multivariate Regime-Switching GARCH Model with Normal Tempered Stable Innovation.
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- Journal of Risk & Financial Management, 2022, v. 15, n. 5, p. 230, doi. 10.3390/jrfm15050230
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An Application of Portfolio Mean-Variance and Semi-Variance Optimization Techniques: A Case of Fiji.
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- Journal of Risk & Financial Management, 2022, v. 15, n. 5, p. 190, doi. 10.3390/jrfm15050190
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On Survivor Stocks in the S&P 500 Stock Index.
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- Journal of Risk & Financial Management, 2022, v. 15, n. 2, p. N.PAG, doi. 10.3390/jrfm15020095
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Does Fixed Income Buffer against Fraud Shocks?
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- Journal of Risk & Financial Management, 2021, v. 14, n. 10, p. 1, doi. 10.3390/jrfm14100479
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What Information in Financial Statements Could Be Used to Predict the Risk of Equity Investment?
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- Journal of Risk & Financial Management, 2021, v. 14, n. 8, p. 1, doi. 10.3390/jrfm14080365
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Global Index on Financial Losses Due to Crime in the United States.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 7, p. 1, doi. 10.3390/jrfm14070315
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- Article