Works about FINANCIAL markets
Results: 5000
Financial geography II – green finance and climate transition.
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- Progress in Human Geography, 2025, v. 49, n. 2, p. 215, doi. 10.1177/03091325251315158
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- Article
Randomized signature methods in optimal portfolio selection.
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- Quantitative Finance, 2025, v. 25, n. 2, p. 197, doi. 10.1080/14697688.2025.2458613
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- Article
A KRASNOSELSKII-MANN PROXIMITY ALGORITHM FOR MARKOWITZ PORTFOLIOS WITH ADAPTIVE EXPECTED RETURN LEVEL.
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- International Journal of Numerical Analysis & Modeling, 2025, v. 22, n. 1, p. 113, doi. 10.4208/ijnam2025-1006
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- Article
Understanding Organisational Behaviour: Improving the Effectiveness of the Ombudsman for Financial Services.
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- Journal of Organisational Studies & Innovation, 2024, v. 11, n. 3, p. 18, doi. 10.51659/josi.23.205
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- Article
Structural Reforms and Economic Performance: The Experience of Advanced Economies.
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- Journal of Economic Literature, 2025, v. 63, n. 1, p. 111, doi. 10.1257/jel.20231527
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- Article
Agent-Based Modeling in Economics and Finance: Past, Present, and Future.
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- Journal of Economic Literature, 2025, v. 63, n. 1, p. 197, doi. 10.1257/jel.20221319
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- Article
Insider Trading Restrictions and Informed Trading in Peer Stocks.
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- Management Science, 2025, v. 71, n. 3, p. 2390, doi. 10.1287/mnsc.2022.02907
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- Article
SYSTEMATIC STUDIES OF CRYPTOCURRENCY USAGE TOOLS FOR FINANCIAL MARKETS.
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- System Research & Information Technologies / Sistemnì Doslìdžennâ ta Ìnformacìjnì Tehnologìï, 2024, n. 4, p. 14, doi. 10.20535/SRIT.2308-8893.2024.4.01
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- Article
Exploring stochastic volatility in financial markets.
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- International Journal of Research in Business & Social Science, 2025, v. 14, n. 1, p. 74, doi. 10.20525/ijrbs.v14i1.3837
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- Article
UNCONVENTIONAL MONETARY POLICIES AND FINANCIAL MARKETS: A CAUSALITY ANALYSIS FOR TURKIYE.
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- Journal of Management & Economics Research, 2024, v. 22, n. 4, p. 226, doi. 10.11611/yead.1565349
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- Article
Dynamic Return Scenario Generation Approach for Large-Scale Portfolio Optimisation Framework: Dynamic Return Scenario Generation Approach for Large-Scale...: D. Neděla et al.
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- Computational Economics, 2025, v. 65, n. 2, p. 819, doi. 10.1007/s10614-023-10541-w
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- Article
AVREMENI RIZICI NA TRŽIŠTU KAPITALA U BIH I ZEMLJAMA U OKRUŽENJU.
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- Business Consultant / Poslovni Konsultant, 2024, v. 15, n. 137, p. 42
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- Article
How Competitive Is the Stock Market? Theory, Evidence from Portfolios, and Implications for the Rise of Passive Investing.
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- American Economic Review, 2025, v. 115, n. 3, p. 975, doi. 10.1257/aer.20230505
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- Article
Understanding Monetary Policy Communication in a Small and Open Economy Under an Exchange Rate Anchor: The Case of North Macedonia.
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- Eastern European Economics, 2025, v. 63, n. 2, p. 204, doi. 10.1080/00128775.2024.2304212
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- Article
Securities Markets and Their Regulation in Zambia: A New Dawn or a Rebranding of the Old Norms?
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- Potchefstroom Electronic Law Journal, 2024, v. 27, p. 1, doi. 10.17159/1727-3781/2024/v27i0a15427
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- Article
Historical Aspects of the Cooperation and Collaboration Between the South African Reserve Bank and Other Role Players.
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- Potchefstroom Electronic Law Journal, 2024, v. 27, p. 1, doi. 10.17159/1727-3781/2024/v27i0a18745
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- Article
Impact of Geopolitical Risks on Herding Behavior in Some MENA Stock Markets.
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- Journal of Risk & Financial Management, 2025, v. 18, n. 2, p. 85, doi. 10.3390/jrfm18020085
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- Article
Discrete Information Acquisition in Financial Markets.
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- Mathematics (2227-7390), 2025, v. 13, n. 4, p. 666, doi. 10.3390/math13040666
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- Article
Karl Polanyi in Sri Lanka: Odious Debt and Corrupted Capitalism.
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- Journal of Economic Issues, 2025, v. 59, n. 1, p. 1, doi. 10.1080/00213624.2025.2455293
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- Article
Sustainability Through Policy Stringency: Analysing the Impact on Financial Development.
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- Sustainability (2071-1050), 2025, v. 17, n. 4, p. 1374, doi. 10.3390/su17041374
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- Article
Sigma set for ASX50.
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- Australian Journal of Pharmacy, 2025, v. 106, n. 1247, p. 8
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- Article
Nonlinear Analysis of the U.S. Stock Market: From the Perspective of Multifractal Properties and Cross-Correlations with Comparisons.
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- Fractal & Fractional, 2025, v. 9, n. 2, p. 73, doi. 10.3390/fractalfract9020073
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- Article
UNRAVELING FINANCIAL MARKET DYNAMICS: THE APPLICATION OF FRACTAL THEORY IN FINANCIAL TIME SERIES ANALYSIS.
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- Fractals, 2025, v. 33, n. 1, p. 1, doi. 10.1142/S0218348X25500173
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- Article
Risk Spillover Effect of Crude Oil Prices Against Stock Price Indices: Case Study of Oil-Producing and Consumer Countries for The Period of 2000-2022.
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- Jurnal Indonesia Sosial Teknologi, 2025, v. 6, n. 1, p. 56, doi. 10.59141/jist.v6i1.8826
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- Article
Exploiting Action Impact Regularity and Exogenous State Variables for Offline Reinforcement Learning.
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- Journal of Artificial Intelligence Research, 2023, v. 77, p. 71, doi. 10.1613/jair.1.14580
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- Article
OWNERSHIP STRUCTURE AND PERFORMANCE: EVIDENCE FROM PORTUGAL.
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- Corporate Ownership & Control, 2010, v. 7, n. 3, p. 25
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- Article
LAYER HISTOGRAM PATTERNS IN FINANCIAL TIME SERIES.
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- Corporate Ownership & Control, 2009, v. 6, n. 3, p. 137
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- Article
DO PORTFOLIO MANAGERS IN SOUTH AFRICA CONSIDER HUMAN BEHAVIOUR ISSUES WHEN MAKING INVESTMENT DECISIONS OR ADVISING CLIENTS?
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- Corporate Ownership & Control, 2009, v. 6, n. 3, p. 126
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- Article
THE EMPIRICAL EVIDENCE OF THE VOLUNTARY INFORMATION DISCLOSURE IN THE ANNUAL REPORTS OF BANKING COMPANIES: THE CASE OF BANGLADESH.
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- Corporate Ownership & Control, 2007, v. 4, n. 3, p. 111
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- Article
UNDERPRICING AND CORPORATE GOVERNANCE - EVIDENCE FROM TAIWAN SECURITIES MARKET.
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- Corporate Ownership & Control, 2006, v. 4, n. 2, p. 69
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- Article
DOES OWNERSHIP STRUCTURE EFFECT IPO UNDERPRICING: EVIDENCE FROM THAI IPOS.
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- Corporate Ownership & Control, 2005, v. 3, n. 2, p. 106
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- Article
GOVERNMENT AND MARKET: A CRITIQUE OF PROFESSOR JAMES BUCHANAN'S "WHAT SHOULD ECONOMISTS DO?".
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- Corporate Ownership & Control, 2005, v. 3, n. 1, p. 81
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- Article
OWNERSHIP STRUCTURE AND PROXY CONTEST WITHOUT PROXY TRADING: EVIDENCE FROM TAIWAN SECURITIES MARKETS.
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- Corporate Ownership & Control, 2005, v. 2, n. 4, p. 86
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- Article
TOWARDS A CONVERGENCE OF THE SHAREHOLDER AND STAKE-HOLDER MODELS.
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- Corporate Ownership & Control, 2005, v. 2, n. 3, p. 11
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- Article
CORPORATE GOVERNANCE AND FIRM FINANCING: THE ROLE OF POLITICS.
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- Corporate Ownership & Control, 2004, v. 2, n. 1, p. 50
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- Article
Factores relevantes de la inestabilidad del mercado petrolero.
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- Revista de Economía Institucional, 2021, v. 23, n. 45, p. 227, doi. 10.18601/01245996.v23n45.11
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- Article
LA GEOPOLÍTICA CAMBIANTE DEL CORONAVIRUS Y LA CAÍDA DEL NEOLIBERALISMO.
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- Revista de Economía Institucional, 2021, v. 23, n. 44, p. 103, doi. 10.18601/01245996.v23n44.06
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- Article
CARACTERIZACIÓN Y COMPARACIÓN DEL MERCADO OTC DE VALORES EN COLOMBIA.
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- Revista de Economía Institucional, 2014, v. 16, n. 31, p. 223
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- Article
Por qué los mercados financieros son tan ineficientes y explotadores, y una propuesta de solución.
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- 2010
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- Abstract
POR QUÉ LOS MERCADOS FINANCIEROS SON TAN INEFICIENTES Y EXPLOTADORES, Y UNA PROPUESTA DE SOLUCIÓN.
- Published in:
- 2010
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- Publication type:
- Essay
COLOMBIA EN LAS DOS FASES DE GLOBALIZACIÓN.
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- Revista de Economía Institucional, 2007, v. 9, n. 17, p. 43
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- Publication type:
- Article
GLOBALIZACIÓN DEL CAPITAL Y DESARROLLO INSTITUCIONAL DEL SISTEMA FINANCIERO.
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- Revista de Economía Institucional, 2007, v. 9, n. 17, p. 75
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- Publication type:
- Article
The Effects of the ECB Communications on Financial Markets before and during COVID-19 Pandemic.
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- University of Tartu - Faculty of Economics & Business Administration Working Paper Series, 2022, n. 140, p. 1
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- Article
Mapping the stocks in MICEX: Who is central to the Moscow Stock Exchange?
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- University of Tartu - Faculty of Economics & Business Administration Working Paper Series, 2018, n. 111, p. 1
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- Article
The Role of Capital Controls in Mediating Global Shocks.
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- University of Tartu - Faculty of Economics & Business Administration Working Paper Series, 2017, n. 102, p. 3
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- Article
A Critical Analysis of Securities Crime in Canada.
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- Canadian Journal of Criminology & Criminal Justice, 2019, v. 61, n. 1, p. 86, doi. 10.3138/cjccj.2017-0037
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- Article
Intra-daily Volume Modeling and Prediction for Algorithmic Trading.
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- Journal of Financial Econometrics, 2011, v. 9, n. 3, p. 489, doi. 10.1093/jjfinec/nbq024
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- Article
Measuring High-Frequency Causality Between Returns, Realized Volatility, and Implied Volatility.
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- Journal of Financial Econometrics, 2012, v. 10, n. 1, p. 124, doi. 10.1093/jjfinec/nbr007
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- Article
When is a Copula Constant? A Test for Changing Relationships.
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- Journal of Financial Econometrics, 2011, v. 9, n. 1, p. 106, doi. 10.1093/jjfinec/nbq020
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- Article
Does the Open Limit Order Book Matter in Explaining Informational Volatility?
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- Journal of Financial Econometrics, 2010, v. 8, n. 1, p. 57, doi. 10.1093/jjfinec/nbp021
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- Article