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Presenting the model of portfolio management in investment funds based on behavioral financial variables
Published 2025-03-01Subjects: “…portfolio management…”
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22
MARKETING STRATEGIES DEVELOPMENT APPROACHES FOR MANAGING PATENT PORTFOLIOS
Published 2017-07-01Subjects: Get full text
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23
Le stage en formation alternée dans l’enseignement supérieur : pour quel développement professionnel ?
Published 2014-04-01Subjects: Get full text
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24
A Multi-Objective Approach to Portfolio Optimization Problem Using the Analytic Hierarchy Process (AHP) and Genetic Algorithm
Published 2022-03-01Subjects: Get full text
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25
Portfolio assessment in AI-enhanced learning environments: a pathway to emotion regulation, mindfulness, and language learning attitudes
Published 2025-01-01Subjects: Get full text
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26
Portfolio Composition and Home Ownership Importance for the Wealth Distribution in Europe
Published 2023-12-01Subjects: “…Portfolio composition…”
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27
Measuring resilience properties of household livelihoods and food security outcomes in the risky environments of Ethiopia
Published 2018-11-01Subjects: Get full text
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28
Combined strategies for managing the securities portfolio structure
Published 2024-04-01Subjects: “…securities portfolio…”
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29
Strategic portfolio rebalancing: Integrating predictive models and adaptive optimization objectives in a dynamic market
Published 2024-08-01Subjects: Get full text
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30
A study on multi-project management in the mining and geology sector in Serbia: A case analysis
Published 2024-01-01Subjects: Get full text
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31
Tracing the ties that bind: navigating the static and dynamic connectedness between NFTs and equity markets in ASEAN based on QVAR-approach
Published 2025-01-01Subjects: Get full text
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32
Islamic learning portfolio assessment at islamic senior high school
Published 2024-12-01Subjects: “…portfolio assessment, islamic learning, islamic senior high school…”
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33
A Novel Approach for Portfolio Optimization Using Fuzzy AHP Based on Gustafson Kessel Clustering Algorithm
Published 2024-12-01Subjects: Get full text
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34
THE ROLE OF MONETARY INSTRUMENTS IN ECONOMIC EMERGENCIES. STUDIES OF RUSSIAN ECONOMISTS OF THE EARLY XX CENTUR
Published 2019-09-01Subjects: Get full text
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35
Profitable portfolio using fermatean fuzzy numbers
Published 2024-03-01Subjects: “…portfolio problems…”
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36
PORTFOLIO RISK MANAGEMENT IN INVESTMENT ACTIVITY OF BANKING SECTOR
Published 2014-06-01Subjects: Get full text
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37
Use of an electronic portfolio for longitudinal assessment of personal and professional development in undergraduate medical education
Published 2025-01-01Subjects: Get full text
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38
Preparing teachers of Early Childhood Education to teach a foreign language: the PEPELINO portfolio in practice
Published 2021-06-01Subjects: Get full text
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39
Portfolio formation based on risk-adjusted performance and distribution-based returns using data envelopment analysis
Published 2024-08-01Subjects: Get full text
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