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  1. 3361

    Modern tendencies of functioning of nongovernmental pension funds in the system of obligatory pension insurance by Gulnara Fatkhlislamova

    Published 2019-03-01
    “…The article defines the strategy of investing APFs in various classes of assets during the study period, it has been revealed that of the total amount of invested pension savings in corporate securities, 2/3 of them fall on NPF investments. Over the last analyzed period, there has been a sharp increase in the investment of pension savings of NPFs in government securities, which is largely due to the tightening of regulatory requirements for the risk level of portfolio investment. …”
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  2. 3362

    PERFORMANCES OF INSURANCE MARKET IN MONTENEGRO IN CONDITIONS OF FINANCIAL CRISIS by Miljana Novićević, Vladimir Kašćelan, Julija Cerović

    Published 2011-05-01
    “…Since the financial markets both in Montenegro and in the region are not sufficiently developed, the insurance companies were not able to invest funds in sophisticated securities and financial derivatives, while the Law on Insurance, on the other hand, limited the companies to invest available monetary assets in risky securities, such as stocks. …”
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  3. 3363

    Evaluating the investment performance of Japanese households: A comparison between professional financial advice and free financial advice by Yoshihiko Kadoya, Sumeet Lal, Jin Shinohara, Mostafa Saidur Rahim Khan

    Published 2025-02-01
    “…This study, analyzing data from Rakuten Securities, a leading online-based security company in Japan, finds that investors prefer free financial advice from sources such as social media, mass media, personal networks, and individual decision-making. …”
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    Article
  4. 3364

    SYSTEMATIC RISK ASSESMENT USING OLS METHOD - THE CASE OF THE CAPITAL MARKET OF BOSNIA AND HERZEGOVINA by Azra Zaimović

    Published 2012-05-01
    “…This capital market is new and underdeveloped, with a modest supply of securities and with a small number of marketable securities. …”
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    Article
  5. 3365

    Identification and Prioritization of Solutions for Restoring Investors' Confidence in the Capital Market of the Islamic Republic of Iran by Yaser Sharifi, Mohammad Tohidi, Meisam Hamedi

    Published 2024-09-01
    “…According to the experts’ opinions, the most crucial solutions included preventing government intervention and non-expert comments by government officials in the capital market, reforming the economic system to enhance economic stability, increasing transparency in information and decision-making processes, and improving the performance of the Securities and Exchange Organization of Iran in detecting and addressing violations.…”
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  6. 3366

    PERFORMANCES OF INSURANCE MARKET IN MONTENEGRO IN CONDITIONS OF FINANCIAL CRISIS by Miljana Novićević, Vladimir Kašćelan, Julija Cerović

    Published 2011-05-01
    “…Since the financial markets both in Montenegro and in the region are not sufficiently developed, the insurance companies were not able to invest funds in sophisticated securities and financial derivatives, while the Law on Insurance, on the other hand, limited the companies to invest available monetary assets in risky securities, such as stocks. …”
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    Article
  7. 3367

    Analisis Hubungan Literasi Keuangan Investor, Pengetahuan Investor, Risk Tolerance Investor Dan Regret Aversion Bias Investor Dengan Keputusan Investasi by Desak Putu Suciwati, Shaskia Roja Marwa, Jeni Susanti

    Published 2024-07-01
    “…The data source was obtained from primary data by distributing a 5 Likert scale questionnaire to respondents via Google Form to BNI Securities and Mandiri Securities. Based on the research sample criteria, 129 research samples were obtained. …”
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    Article
  8. 3368

    The Effect of the Russian Subnational Debt on the Socio-economic Development of the Region by O. I. Larina, N. V. Moryzhenkova

    Published 2017-12-01
    “…Used methods of system analysis, comparison and clustering.The result is proved in the article that on the one hand the issue of securities does not stimulate socio-economic development of the region, on the other hand in the current situation, the desired reduction provide budget loans should pay attention of regions in the possible form of borrowing. …”
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    Article
  9. 3369

    SYSTEMATIC RISK ASSESMENT USING OLS METHOD - THE CASE OF THE CAPITAL MARKET OF BOSNIA AND HERZEGOVINA by Azra Zaimović

    Published 2012-05-01
    “…This capital market is new and underdeveloped, with a modest supply of securities and with a small number of marketable securities. …”
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    Article
  10. 3370

    Simulation of bond prices by Jelena Artamonova

    Published 2005-12-01
    “…The proposed methods are illustrated by the Lithuanian Government securities. The results show that a squared binomial (two-factor) bond market model approximates the bond prices more precisely than analogous quadronomial (one-factor) model. …”
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  11. 3371

    Application of Securitization of Leasing Assets by I. V. Linev

    Published 2014-04-01
    “…These securities can be bonds, actions or bills. Thus the asset leased, acts as providing these papers. …”
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  12. 3372

    The nexus between the financial development and CO2 emissions: fresh evidence through time–frequency analyses by Faik Bilgili, Erhan Muğaloğlu, Sevda Kuşkaya, Javier Cifuentes-Faura, Kamran Khan, Mohammed Alnour

    Published 2025-01-01
    “…Rest of the world: sector discrepancy transactions, rest of the world: debt securities and loans, gross domestic product, and the square of the gross domestic product, are control variables in the estimated models. …”
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  13. 3373

    Socially Responsible Investment Sukuk: A Systematic Review of the Scientific Literature by Reza Yarmohammadi, Ali Salehabadi, Mohammad Tahidi, Adel Azar

    Published 2023-04-01
    “…One of the recent developments in the Islamic securities market is the issuance of Socially Responsible Investment Sukuk (SRI), which focuses on environmental, social and governance (ESG) issues. …”
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  14. 3374
  15. 3375

    Modeling the Dependence of Losses of a Financial Portfolio Using Nested Archimedean Copulas by Wendkouni Yaméogo, Diakarya Barro

    Published 2021-01-01
    “…This paper proposes an approach of modeling the dependence of losses on securities, and the potential loss of the portfolio is divided into sectors each including two subsectors. …”
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  16. 3376

    ID-based threshold decryption with non-reconstruction of the private key by QIN Bao-shan 1, ZHOU Yuan2

    Published 2009-01-01
    “…An efficient ID-based encryption scheme called EPA was constructed and proved in the sense of plaintext awareness.Then EPA was modified to be a threshold ID-based threshold decryption scheme named ThEPA, which was featured by a property called non-reconstruction of the private key with it, a robust key escrow scheme based on ThEPA was proposed.In ThEPA, the decryption key is distributed among n decryption servers, but a single private key could not be obtained even if securities of all these distributed servers are compromised.…”
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  17. 3377

    CONTROLLING AS A CORPORATE GOVERNANCE TOOL by T. Rogulenko

    Published 2018-09-01
    “…According to the results of the research it is concluded that con-trolling is one of the modern algorithmic and automated tools of the corporate governance system of the economic development strategy in a highly competitive environment and un-predictability of the behavior of economic entities in the market of goods, works, services, currency, securities and etc., which integrates with other management systems in the mode of their parallel automation.…”
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  18. 3378

    The European Central Bank’s Ethical Rules by Arne Hansen, Dirk Meyer

    Published 2022-10-01
    “…Abstract The study analyses the private securities transactions at the US Federal Reserve that have been made public since late 2021 and are worthy of criticism. …”
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  19. 3379

    PRECONDITIONS OF LAND RELATIONS DEVELOPMENT: ECONOMIC, LEGAL AND INSTITUTIONAL

    Published 2018-12-01
    “…The article also proposes mortgage refinancing mechanism through the issue of mortgage land securities. …”
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  20. 3380

    ON THE PROSPECTS OF TAX INCENTIVES FOR INVESTMENTS IN BONDS by A. S. Solomentsev

    Published 2020-09-01
    “…Russian economy is in dire need of “long” money, the source of which may be the population’s investments in securities market instruments. Bonds seem to be a real alternative to bank deposits and an optimal investment tool from a position of risk and return. …”
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