Works matching DE "FINANCIAL equilibrium (Economics)"
Results: 32
Съвременната неконвенционална парична политика на ЕЦБ в контекста на финансовата криза
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- Ikonomiceski I Socialni Alternativi, 2016, n. 4, p. 5
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Security from the Adversary's Inertia–Controlling Convergence Speed When Playing Mixed Strategy Equilibria.
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- Games (20734336), 2018, v. 9, n. 3, p. 59, doi. 10.3390/g9030059
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Econometric Modeling of SME Performance. Case of Romania.
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- Sustainability (2071-1050), 2018, v. 10, n. 1, p. 192, doi. 10.3390/su10010192
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Prudence and Directive 34 – Reality and Rhetoric in Accounting Regulation.
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- Accounting in Europe, 2021, v. 18, n. 1, p. 26, doi. 10.1080/17449480.2020.1779946
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A Supplementary Note on Professor Hein's (2013) Version of A Kaleckian Debt Accumulation.
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- Metroeconomica, 2016, v. 67, n. 3, p. 529, doi. 10.1111/meca.12110
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Financial equilibrium with asymmetric information and random horizon.
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- Finance & Stochastics, 2018, v. 22, n. 1, p. 97, doi. 10.1007/s00780-017-0348-0
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An empirical interpolation approach to reduced basis approximations for variational inequalities.
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- Mathematical & Computer Modelling of Dynamical Systems, 2016, v. 22, n. 4, p. 345, doi. 10.1080/13873954.2016.1198388
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Financial equilibrium with non-linear valuations.
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- Annals of Finance, 2018, v. 14, n. 2, p. 211, doi. 10.1007/s10436-017-0312-1
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CONSIDERATIONS ON THE FINANCIAL EQUILIBRIA OF ROMANIAN ENTERPRISES TOURISM.
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- Revista Economică, 2015, v. 67, n. 5, p. 7
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Asset Bubbles and Credit Constraints.
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- American Economic Review, 2018, v. 108, n. 9, p. 2590, doi. 10.1257/aer.20160782
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Internal Devaluations and Equilibrium Exchange Rates: new evidences and perspectives for the EMU.
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- Applied Economics, 2018, v. 50, n. 59, p. 6364, doi. 10.1080/00036846.2018.1486019
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Every member of the core is as respectful as any other.
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- Review of Economic Design, 2018, v. 22, n. 1/2, p. 55, doi. 10.1007/s10058-018-0211-6
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Changes of Relation in Multi-Population Mortality Dependence: An Application of Threshold VECM.
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- Risks, 2019, v. 7, n. 1, p. 14, doi. 10.3390/risks7010014
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Dynamic portfolio choice without cash.
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- Quantitative Finance, 2019, v. 19, n. 2, p. 313, doi. 10.1080/14697688.2018.1465580
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Do political risks matter in the financial markets?: evidence from Turkey.
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- Eurasian Business Review, 2018, v. 8, n. 2, p. 209, doi. 10.1007/s40821-017-0077-5
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The Self-financing Capacity and the Net Self-financing.
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- Economy Transdisciplinarity Cognition, 2017, v. 20, n. 2, p. 25
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Fiscal Crisis, Social Security Reform and Vulnerable Population.
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- Panoeconomicus, 2014, v. 61, n. 5, p. 129, doi. 10.2298/PAN1401129P
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TO VISUALIZE THE COMBINATION BETWEEN AGRICULTURE FINANCIAL RISK AND ACTIONS TO TAKE.
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- Quality - Access to Success, 2016, v. 17, p. 585
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The Financial Equilibrium Problem with a Markowitz-Type Memory Term and Adaptive Constraints.
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- Journal of Optimization Theory & Applications, 2016, v. 171, n. 1, p. 276, doi. 10.1007/s10957-016-0973-3
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Psychological Points of Equilibrium in Asset Valuation During Market Bubbles.
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- Journal of Behavioral Finance, 2016, v. 17, n. 1, p. 85, doi. 10.1080/15427560.2015.1098641
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The Impact of Financial Development on Foreign Direct Investment in Nigeria.
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- Journal of Management & Social Sciences, 2017, v. 6, n. 1, p. 181
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financial equilibrium as basis for enterprise’s sustainable development: economic and mathematical foundation.
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- Technology Audit & Production Reserves, 2017, v. 5, n. 4(37), p. 51, doi. 10.15587/2312-8372.2017.113161
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Earnings Autocorrelation and the Post-Earnings-Announcement Drift: Experimental Evidence.
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- Journal of Financial & Quantitative Analysis, 2024, v. 59, n. 6, p. 2799, doi. 10.1017/S0022109023000881
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Estimating General Equilibrium Spillovers of Large-Scale Shocks.
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- Review of Financial Studies, 2023, v. 36, n. 4, p. 1548, doi. 10.1093/rfs/hhac057
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Equilibrium Consequences of Indexing.
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- Review of Financial Studies, 2022, v. 35, n. 7, p. 3175, doi. 10.1093/rfs/hhab106
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Cheap Talk and Strategic Rounding in LIBOR Submissions.
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- Review of Financial Studies, 2020, v. 33, n. 6, p. 2585, doi. 10.1093/rfs/hhz101
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Endogenous Leverage and Advantageous Selection in Credit Markets.
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- Review of Financial Studies, 2017, v. 30, n. 11, p. 3888, doi. 10.1093/rfs/hhw077
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Tasa de reemplazo previsional argentina (1974-2018).
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- Gaceta Laboral, 2018, v. 24, n. 3, p. 196
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ASSESSMENT OF THE DETERMINATS OF FINANCIAL SECURITY OF RAILWAYS IN UKRAINE.
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- Financial & Credit Activity: Problems of Theory & Practice, 2018, v. 4, n. 27, p. 270, doi. 10.18371/fcaptp.v4i27.154109
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Modelling the Dynamics of Fuel and EU Allowance Prices during Phase 3 of the EU ETS.
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- Energies (19961073), 2018, v. 11, n. 11, p. 3148, doi. 10.3390/en11113148
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IDENTIFYING THE GAP AND DIFFERENCES BETWEEN CUSTOMERS' EXPECTATIONS FOR BANKS' CORPORATE SOCIAL RESPONSIBILITY AND THE ACTUAL SCENARIO.
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- Transformations in Business & Economics, 2017, v. 16, n. 2, p. 106
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TOWARDS HOLISTIC THEORY OF MONEY: OVERCOMING TWENTIETH CENTURY NEOCLASSICAL MONETARY PARADIGM.
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- Economic Studies, 2015, v. 24, n. 4, p. 3
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