Works matching DE "MANAGEMENT of securities"
Results: 39
DINÁMICA DEL VOLUMEN, INFORMACIÓN Y ESTRUCTURA DE PROPIEDAD.
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- Revista de Economía Aplicada, 2010, v. 18, n. 52, p. 121
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- Article
Dynamic Asset Allocation in a Mean-Variance Framework.
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- Management Science, 1998, v. 44, n. 11, p. S79, doi. 10.1287/mnsc.44.11.S79
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Increasing Your PIPEline of Operating Capital.
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- Financial Executive, 2003, v. 19, n. 8, p. 22
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Credit ratings failures and policy options.
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- Economic Policy, 2010, v. 25, n. 62, p. 401, doi. 10.1111/j.1468-0327.2010.00245.x
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Trading on inside information when there may be tippees.
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- Review of Quantitative Finance & Accounting, 2008, v. 31, n. 3, p. 241, doi. 10.1007/s11156-007-0072-5
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In Defense of the Corporation.
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- Internal Auditor, 2009, v. 66, n. 5, p. 27
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The Unreasonable Burden of Proving the Reasonable Care Defense Under the Uniform Securities Act.
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- Business Lawyer, 2008, v. 63, n. 4, p. 1223
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Pairs Trading Using HFT in OMX Baltic Market.
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- Baltic Journal of Modern Computing, 2017, v. 5, n. 1, p. 37, doi. 10.22364/bjmc.2017.5.1.03
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Correlation Misperception in Choice.
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- American Economic Review, 2017, v. 107, n. 4, p. 1264, doi. 10.1257/aer.20160093
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SFTR technical standards: Turning data into intelligence.
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- Journal of Securities Operations & Custody, 2018, v. 10, n. 4, p. 305, doi. 10.69554/rvhg4126
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Centralization of Treasury Management.
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- 2010
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- Book Review
Best practices for security and controls for corporate treasurers.
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- Journal of Corporate Treasury Management, 2010, v. 3, n. 4, p. 353
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Optimising cash and effective liquidity.
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- Journal of Corporate Treasury Management, 2010, v. 3, n. 4, p. 295
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IMPROVED DEPOSITORY SUPPORT THE STOCK MARKET UKRAINE.
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- Financial Space, 2015, n. 1, p. 272
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Do Shareholders Have Obligations to Stakeholders?
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- Journal of Business Ethics, 2001, v. 33, n. 4, p. 287, doi. 10.1023/A:1011819303241
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Is Momentum an Echo?
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- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1237, doi. 10.1017/S0022109015000575
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POSSIBILITIES FOR STOCK MARKET INVESTMENT USING PSYCHOLOGICAL ANALYSIS.
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- Research Papers of the Wroclaw University of Economics / Prace Naukowe Uniwersytetu Ekonomicznego we Wroclawiu, 2015, n. 381, p. 275, doi. 10.15611/pn.2015.381.21
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Synthetic and Enhanced Index Strategies Using Futures on U.S. Indexes.
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- Journal of Portfolio Management, 1999, v. 25, n. 3, p. 61, doi. 10.3905/jpm.1999.319697
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- Article
Does Prospect Theory Explain IPO Market Behavior?
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- Journal of Finance (Wiley-Blackwell), 2005, v. 60, n. 4, p. 1759, doi. 10.1111/j.1540-6261.2005.00779.x
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Callable Bonds: A Risk-Reducing Signalling Mechanism--A Reply.
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- Journal of Finance (Wiley-Blackwell), 1988, v. 43, n. 4, p. 1067, doi. 10.1111/j.1540-6261.1988.tb02625.x
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Callable Bonds: A Risk-Reducing Signalling Mechanism--A Comment.
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- Journal of Finance (Wiley-Blackwell), 1988, v. 43, n. 4, p. 1057, doi. 10.1111/j.1540-6261.1988.tb02624.x
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DISCUSSION.
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- Journal of Finance (Wiley-Blackwell), 1988, v. 43, n. 3, p. 734, doi. 10.1111/j.1540-6261.1988.tb04604.x
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Risk Aversion and Arbitrage.
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- Journal of Finance (Wiley-Blackwell), 1985, v. 40, n. 1, p. 257, doi. 10.1111/j.1540-6261.1985.tb04948.x
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- Article
The Capital Structure Puzzle.
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- Journal of Finance (Wiley-Blackwell), 1984, v. 39, n. 3, p. 575, doi. 10.2307/2327916
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Flotation Cost Allowance for the Regulated Firm: A Reply.
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- Journal of Finance (Wiley-Blackwell), 1984, v. 39, n. 1, p. 293, doi. 10.1111/j.1540-6261.1984.tb03879.x
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Efficient Funds in a Financial Market with Options: a New Irrelevance Proposition.
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- Journal of Finance (Wiley-Blackwell), 1981, v. 36, n. 3, p. 685, doi. 10.1111/j.1540-6261.1981.tb00653.x
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SIMPLE CRITERIA FOR OPTIMAL PORTFOLIO SELECTION.
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- Journal of Finance (Wiley-Blackwell), 1976, v. 31, n. 5, p. 1341, doi. 10.1111/j.1540-6261.1976.tb03217.x
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- Article
HEDGE FONLAR VE HEDGE FONLARIN FİNANSAL SİSTEM ÜZERİNDEKİ ETKİLERİ.
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- Marmara University Journal of the Faculty of Economic & Administrative Sciences, 2009, v. 26, n. 1, p. 415
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- Article
STOCK RETURN FORECASTS WITH ARTIFICIAL NEURAL NETWORK MODELS.
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- Marmara University Journal of the Faculty of Economic & Administrative Sciences, 2009, v. 26, n. 1, p. 443
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AN ALGORITHM FOR DERIVING THE CAPITAL MARKET LINE.
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- Management Science, 1977, v. 23, n. 11, p. 1183, doi. 10.1287/mnsc.23.11.1183
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A STRATEGY WHICH MAXIMIZES THE GEOMETRIC MEAN RETURN ON PORTFOLIO INVESTMENTS.
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- Management Science, 1977, v. 23, n. 10, p. 1117, doi. 10.1287/mnsc.23.10.1117
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MATHEMATICAL PROGRAMMING OF ADMISSIBLE PORTFOLIOS.
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- Management Science, 1977, v. 23, n. 7, p. 779, doi. 10.1287/mnsc.23.7.779
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A DUAL CONCEPT AND ASSOCIATED ALGORITHM IN MEAN-VARIANCE PORTFOLIO ANALYSIS.
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- Management Science, 1976, v. 23, n. 4, p. 423, doi. 10.1287/mnsc.23.4.423
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EVALUATING SECURITY PERFORMANCE FORECASTS.
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- Management Science, 1976, v. 23, n. 4, p. 371, doi. 10.1287/mnsc.23.4.371
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CRITIQUE OF : "DOES 'GOOD PORTFOLIO MANAGEMENT' EXIST?"
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- Management Science, 1969, v. 15, n. 6, p. B-320, doi. 10.1287/mnsc.15.6.B320
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THE BOND REFUNDING DECISION AS A MARKOV PROCESS.
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- Management Science, 1966, v. 12, n. 12, p. B-545, doi. 10.1287/mnsc.12.12.B545
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PORTFOLIO ANALYSIS IN A STABLE PARETIAN MARKET.
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- Management Science, 1965, v. 11, n. 3, p. 404, doi. 10.1287/mnsc.11.3.404
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A SIMPLIFIED MODEL FOR PORTFOLIO ANALYSIS.
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- Management Science, 1963, v. 9, n. 2, p. 277, doi. 10.1287/mnsc.9.2.277
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LOGISTICAL CAPITAL MANAGEMENT THEORY: DETERMINISTIC METHODS.
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- Transformations in Business & Economics, 2008, v. 7, n. 1, p. 197
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