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301
Resilience capacity among the vulnerable farming households in Meki River catchment, Central Rift Valley of Ethiopia: Present situation and future prospects
Published 2025-02-01“…The model showed that Asset, Stability, and Adaptive Capacity have a significant explanatory weight in estimating RCI. …”
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302
The Impact of Digitalization in Inheritance Law
Published 2024-08-01“… This article examines the emerging challenges and opportunities in regulating digital inheritance and trust management of digital assets. As individuals accumulate valuable digital assets, including cryptocurrencies, social media accounts, and online intellectual property, traditional inheritance frameworks are struggling to adapt. …”
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303
A Multiperiod Equilibrium Pricing Model
Published 2014-01-01“…There are one tradable risky asset (stock/commodity), one nontradable underlying (temperature), and also a contingent claim (weather derivative) written on the tradable risky asset and the nontradable underlying in the market. …”
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304
Paisagem Cultural: discussões contemporâneas por um (novo) olhar para o patrimônio cultural
Published 2016-01-01“…In this sense, the objective of this article consists in analyzing the process of heritage activation that would consolidate the notion of Cultural Landscape as a new category of heritage asset in Brazil, and the elements comprehended under this typology.…”
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305
An Analysis of Asymptotic Properties and Error Control under the Exponential Jump-Diffusion Model for American Option Pricing
Published 2021-01-01“…Finally, to highlight our approach, we test it on different asset pricing models, in particular, the exponential Lévy model compared to the simple Black and Scholes model, and we will show how the latter outperforms the former in the real market (Microsoft “MSFT” put option as an example).…”
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306
Precommitted Investment Strategy versus Time-Consistent Investment Strategy for a Dual Risk Model
Published 2014-01-01“…We assume that the company can invest into a risk-free asset and a risky asset. Short-selling and borrowing money are allowed. …”
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307
ESTIMATING TURKISH STOCK MARKET RETURNS WITH APT MODEL: COINTEGRATION AND VECTOR ERROR CORRECTION
Published 2016-05-01“… Multifactor financial models are of great importance in analyzing practical asset prices. As an alternative to CAPM, Arbitrage Pricing Theory (APT), developed by Ross (1976), describes the expected returns on any financial asset with respect to macroeconomic factors. …”
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308
Effect of Outreach on Financial Sustainability and Profitability of Saving and Credit Cooperatives in Eastern Ethiopia
Published 2020-06-01“…Likewise, gross loan to asset ratio, managerial efficiency, and average loan size has statistically significant and positive effect on the profitability of SACCOs in Eastern Ethiopia. …”
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309
Reconceptualizing menstrual health and hygiene among young women in India
Published 2025-02-01“…Key predictors included household asset index, education, place of residence, and region. …”
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310
Return and volatility spillover between cryptocurrencies, oil price and stock market in GCC countries
Published 2025-12-01“…The study suggests that cryptocurrency price movements are independent of other asset classes, providing portfolio diversification opportunities for investors in GCC countries.…”
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311
FINANCIAL MARKET SPECULATIVE TRANSACTIONS
Published 2013-12-01“…Stock market has provided the basis for property and management separation, and derivatives, in turn, separate returns from property and risk from asset. As risk valuation turns out to be the measure of market expectations, it is sure to affect the basic asset prices even more than underlying real capital. …”
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312
The Financial Component of the Scientific Publication’s Value Original article
Published 2022-12-01“…Asset valuation approaches have been adapted to assess the scientific publication’s value from the position of the author as a beneficiary. …”
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313
Innovation Efficiency of High-Tech SMEs Listed in China: Its Measurement and Antecedents
Published 2020-01-01“…In addition, the antecedents of innovation efficiency are explored using the panel regression model and the conclusions are as follows: (1) government subsidies, ownership concentration, and market competition deter enterprise innovation efficiency, and the impact of ownership concentration is found to be the most significant; (2) firm size and asset-liability ratio bear positively on enterprise innovation efficiency, with the effect of asset-liability ratio being greater; (3) firm age has significantly positive effects on scale efficiency but not on innovation efficiency and pure technical efficiency.…”
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314
Risk Evaluation of Sewage Treatment PPPABS Projects Using Combination Weight Method and D-S Evidence Theory
Published 2020-01-01“…The final risk system is established from the perspectives of macrorisks, basic asset risks, transaction structure risks, operational risks, and other risks, which include 17 second risk factors. …”
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315
Dynamic Connectedness, Spillovers, and Delayed Contagion between Islamic and Conventional Bond Markets: Time- and Frequency-Domain Approach in COVID-19 Era
Published 2022-01-01“…Using the Baruník and Křehlík spillover index, the study examines the dynamic connectedness and spillovers between Islamic and conventional (G6) bond markets to reveal the time- and frequency-domain dynamics of the two asset classes under different market conditions. …”
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316
The Impact of Capital Structure on the Performance of Chinese E-Commerce Industry Companies (2013–2019 Panel Data)
Published 2022-01-01“…Moreover, the short-term interest-bearing debt ratio and the total asset turnover ratio have a positive impact on firm performance, while the impacts of the current assets ratio and intangible assets ratio on firm performance are not significant. …”
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317
ESTIMATING TURKISH STOCK MARKET RETURNS WITH APT MODEL: COINTEGRATION AND VECTOR ERROR CORRECTION
Published 2016-05-01“… Multifactor financial models are of great importance in analyzing practical asset prices. As an alternative to CAPM, Arbitrage Pricing Theory (APT), developed by Ross (1976), describes the expected returns on any financial asset with respect to macroeconomic factors. …”
Get full text
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318
HSK Wallet: A User Friendly Blockchain Application
Published 2024-12-01“…It focuses on improving the security, transparency, and efficiency of digital asset operations compared to traditional systems and decentralized solutions. …”
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319
A Novel Approach for the Grid-Serving Implementation of Charging Infrastructures and Their Techno-Economic Integration in the Existing Power Grid
Published 2025-01-01“…Furthermore, the derivation of additional costs arising from the utilization-dependent thermal aging of grid assets and their imputed integration into the incentive system is described.…”
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320
The Impact of Islamic Financing on the Economic Development of Aden governorate (A Field Study at Saba, Al-kurimi and Tadhamon banks)
Published 2025-01-01“…The study investigates how profit-and-loss-sharing arrangements and asset-based financing help productive firms grow, improve production, and generate jobs. …”
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