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  1. 3441
  2. 3442

    Du mythe de l’efficience des marchés au krach by David Bourghelle, Pauline Hyme

    Published 2010-12-01
    “…This diagnosis naturally suggests some reforms which aim to secure market liquidity. Among them, a flagship measure considered during the last few months is to standardize asset backed securities so as to encourage increased trading in the secondary market. …”
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    Article
  3. 3443

    Basel III Liquidity Risk Measures and Bank Failure by L. N. P. Hlatshwayo, M. A. Petersen, J. Mukuddem-Petersen, C. Meniago

    Published 2013-01-01
    “…In particular, we compare the risk sensitivity of the aforementioned Basel III liquidity risk measures to those of traditional measures such as the nonperforming assets ratio, return-on-assets, LIBOR-OISS, Basel II Tier 1 capital ratio, government securities ratio, and brokered deposits ratio. Furthermore, we use a discrete-time hazard model to study bank failure. …”
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  4. 3444

    GOVERNMENT DEBTS AND ECONOMIC GROWTH NEXUS: EMPIRICAL EVIDENCE FROM EMERGING ECONOMY by Emmanuel Imuede OYASOR

    Published 2024-11-01
    “…A yearly time-series data was adopted for this study from 2001 to 2022 was sourced from Central Bank of Nigeria (CBN), and Securities Exchange Commission (SEC). Data was subjected to linear regression analysis which was used to estimate the parameters of the model. …”
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    Article
  5. 3445

    BOARD INDEPENDENCE AND FINANCIAL REPORTING QUALITY OF LISTED OIL AND GAS COMPANIES IN NIGERIA MODERATED BY FIRM SIZE by Adamu Lawal Bello, J. Okpanachi, T. Nyor, Lateef Olumude Mustapha

    Published 2024-09-01
    “…Based on the findings, the study recommended that policymakers such as financial reporting council and Securities and Exchange Commission should enforce the code of corporate governance that will provide for mandatory independent directors with financial expertise. …”
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    Article
  6. 3446

    Domain adaptation-based multistage ensemble learning paradigm for credit risk evaluation by Xiaoming Zhang, Lean Yu, Hang Yin

    Published 2025-01-01
    “…A real-world credit dataset from the Chinese securities market was used to validate the effectiveness and feasibility of the multistage ensemble learning paradigm. …”
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    Article
  7. 3447
  8. 3448

    Impact of Monetary Policy on the Level of Economic Inequality in the United States by M. L. Dorofeev

    Published 2020-11-01
    “…Overcoming the consequences of the financial crises of the 21st century every time forces monetary regulators to implement increasingly radical measures in order to save the economy by injecting enormous amounts of liquidity into the market to buy out bad corporate debts as well as government debt securities. At the same time, the questions of how monetary policy affects the level of economic inequality and who is its beneficiary are becoming more relevant.The article seeks to analyze the impact of changes in monetary policy parameters on wealth inequality in the United States. …”
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  9. 3449

    Legal support of corporate legal relations: priority in terms of imperative or discretionary nature by Yu. M. Zhornokui

    Published 2023-03-01
    “…Despite its non-public nature, such a company remains, first and foremost, a capital association and should not be transformed into a limited liability company, and its shares should not be recognised as a surrogate for securities. Although the corporate agreement contains provisions on the exercise (refusal to exercise) of corporate rights by participants (shareholders), they are not local, but are individual regulators that do not apply to the scope of the company's functioning and activities, which does not indicate the normative nature of such a contractual structure.…”
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    Article
  10. 3450

    Cardiac Tissue Characterization with Ultrasound and : a very early index of diabetic cardiomyopathy? by Yeneir Vera Fernández, Angela Castro Arca, Gerardo Senra, Emilio F Buchaca Faxas, Nicolás A Hernández

    Published 2008-12-01
    “…<br /><strong>Methods:</strong> Transverse, prospective,and controlled study that analyzed the diastolic function with pulsated Doppler in 60 diabetic patients and a control group of 15 healthy individuals; all with a normal pressure, with a negative ergometric test and normal systolic function; 40 presented microvascular complications. The securities of magnitude of recurrent variation were determined at the level of the septum and the posterior wall. …”
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    Article
  11. 3451

    MARKETS IN CRYPTO-ASSETS AND CAPITAL MARKET by Cristian GHEORGHE

    Published 2024-05-01
    “…Member States shall notify those competent authorities to EBA (European Banking Authority) and ESMA (European Securities and Markets Authority).…”
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    Article
  12. 3452

    Savings and Credit Co-Operative Societies (Saccos) and Poverty Reduction in Kabale District. by Anita, Kamagara

    Published 2020
    “…The study further recommended that SACCOs should opt for alternative means of considering people without collateral securities like; group members acting as collateral security so as to hedge against the credit risk and ensure that they serve all people without segregation thus alleviating poverty.…”
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    Thesis
  13. 3453

    EAST ASIA - REGIONAL OR GLOBAL FINANCIAL INTEGRATION? by S. V. Nozdrev

    Published 2018-11-01
    “…As regional financial cooperation in Asia has not yet developed as in Western Europe and North America, it is important to pay attention to such essential elements as economic and financial supervision, normative harmonization of banking and securities market, strengthening of regional financial security system and maintenance of development of various segment of financial market, first of all bonds in local currency. …”
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  14. 3454

    Measuring Fear and Greed Index in Stock Market: Evidence from the Tehran Stock Exchange by Mojtaba Rostami Noroozabad, Ali Golbabaei Pasandi, Milad Shahrazi, Somayeh Esfandyari

    Published 2024-06-01
    “…Specifically, we retained seven variables while removing the Junk bond demand variable due to the absence of credit ratings for the debt securities traded on the Tehran Stock Exchange. Therefore, the represented index is based on the six variables, including stock market momentum, stock price strength, stock price breadth, put and call options, market volatility, and safe haven demand which shows the sentiments of the market in five scales, including excessive fear, fear, neutral, greed, and excessive greed. …”
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  15. 3455

    Penerapan Metode Simple Additive Weighting dalam Pemeringkatan Kinerja Keuangan Perusahaan Sektor Teknologi yang Terdaftar di Bei by I Made Satya Sundara, I Gst. Agung Pramesti Dwi Putri, I Nyoman Yudi Anggara Wijaya

    Published 2023-10-01
    “…According to the report from the Indonesia Central Securities Depository (KSEI), from 2019 to 2022, the number of investors in the capital market has consistently increased. …”
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  16. 3456

    Foreign Direct Investment and Violent Crimes: Evidence from the Iranian Provinces by gholamreza zamanian, Frnaz Dehghan, foruzan falahati, ali davari

    Published 2024-12-01
    “…Indirect foreign investment includes investments made by foreign natural and legal entities in the form of buying securities of a financial institution and company and providing them to the host country during a process. …”
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  17. 3457

    Agricultural law / by Rodgers, C. P. (Christopher P.)

    Published 2016
    Table of Contents: “…Agricultural land tenure and protective legislation -- Land use and the law of the common agricultural policy -- Farm business tenancies -- Termination of farm business tenancies -- Agricultural holdings -- Agricultural holdings : the tenancy agreement -- Agricultural holdings : security of tenure -- Statutory succession to gricultural holdings -- Agricultural holdings : compensation on termination of tenancy -- Market gardens, smallholdings and allotments -- Farm cottages -- Planning law and development control -- Agriculture, nature conservation and land use -- Pollution control and land use -- Land use and the common agricultural policy.…”
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    Book
  18. 3458

    Development Theory and Practice in a Changing World / by Carmody, Pádraig

    Published 2019
    Table of Contents: “…-- The role of the state : "developmental states", geopolitics, industrialisation, and security -- Deconstructing development : postmodernism and decoloniality -- Aid, development and South-South cooperation? …”
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    Book
  19. 3459

    Development theory and practice in a changing world / by Carmody, Pádraig

    Published 2019
    Table of Contents: “…-- The role of the state : "developmental states", geopolitics, industrialisation, and security -- Deconstructing development : postmodernism and decoloniality -- Aid, development and South-South cooperation? …”
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    Electronic eBook
  20. 3460

    The Mediating Role of Cash Flow Statement Indicators in the Relationship between Stock Mispricing and Corporate Cash Holding by Ali Majid Akaleh, Hamzeh Didar, Gholamreza Mansourfar

    Published 2024-09-01
    “…Based on the theoretical foundations, the study focused on net cash flows from investment and financing activities as the potential channels, through which the effects of stock mispricing might be transmitted to the firm's cash holdings decisions.Materials & MethodsThe data pertaining to the study's variables were collected from the Tehran Stock Exchange (TSE) and Securities Exchange Organization (SEO) databases, the Rahvard Navin software, and the financial statements of the companies. …”
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