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621
Multivariate CNN-LSTM Model for Multiple Parallel Financial Time-Series Prediction
Published 2021-01-01“…For multiple parallel financial time-series estimation, the proposed model is called multivariate CNN-LSTM. …”
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622
How overconfidence and mental accounting influence investments? The moderating role of financial literacy
Published 2025-02-01“…Further, the analysis confirmed the role of financial literacy as moderating variable for mental accounting and overconfidence. …”
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623
The Effect of the Financial Crisis on Investment Projects Case Study: Kurdistan Region of Iraq
Published 2021-12-01Subjects: “…Financial Crisis…”
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624
Evolutionary Game Dynamics for Financial Risk Decision-Making in Global Supply Chain
Published 2018-01-01“…Using two-population evolutionary game theory, the performance of supply chain members under financial risk environment is modeled. Further, the proposed financial risk game model is applied to simulation cases of global supply chain. …”
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625
Econometric analysis of supply chain disruptions: financial performance in the European automotive sector
Published 2024-08-01Subjects: Get full text
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626
Nonlinear Fluctuation Behavior of Financial Time Series Model by Statistical Physics System
Published 2014-01-01“…We develop a random financial time series model of stock market by one of statistical physics systems, the stochastic contact interacting system. …”
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627
Developing a hybrid model for comparative analysis of financial data clustering algorithms
Published 2023-09-01Subjects: Get full text
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628
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629
Analisa Sentimen Financial Technology Peer To Peer Lending Pada Aplikasi Koinworks
Published 2022-12-01“…Bertambahnya jumlah perusahaan financial technology (fintech) yang terdaftar di Otoritas Jasa Keuangan mengartikan bahwa industri ini semakin dilirik karena dibutuhkan dalam sistem perekonomian di Indonesia. …”
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630
Nonlinear Behaviors of Tail Dependence and Cross-Correlation of Financial Time Series Model
Published 2014-01-01“…Nonlinear behaviors of tail dependence and cross-correlation of financial time series are reproduced and investigated by stochastic voter dynamic system. …”
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631
Reserve Currencies with National Character as the Main object of the Global Financial Architecture Reform
Published 2010-12-01Get full text
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632
On Assessing the Performance of LLMs for Target-Level Sentiment Analysis in Financial News Headlines
Published 2025-01-01Subjects: “…financial sector…”
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633
Les instruments juridiques et financiers du développement écologique en Pologne
Published 2004-12-01Get full text
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634
METHODICAL APPROACH TO FORMATION OF FINANCIAL STRATEGY OF THE ENTERPRISE OF MECHANICAL ENGINEERING AT THE PRESENT STAGE
Published 2016-02-01“…The methodical sequence of a complex assessment of opportunities of the organization to keep a sustainable development at the expense of the available financial potential is offered. The main stages of financial strategy provide obtaining integrated characteristics on groups of indicators of economic dynamics of the enterprise, their comparison with reference values, and also forecasting for the purpose of justification of a choice of optimum option of strategy.…”
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635
Finite-Time Impulsive Control of Financial Risk Dynamic System with Chaotic Characteristics
Published 2021-01-01“…The control of financial risk has always been one of the important topics in financial research. …”
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636
FINANCIAL DEVELOPMENT, ECONOMIC FREEDOM AND ECONOMIC GROWTH: NEW EVIDENCE FROM TUNISIA
Published 2017-11-01Subjects: “…financial development…”
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637
Reorganization and management of the pediatric emergency network in Italy and analysis of human and financial resources.
Published 2022-12-01Subjects: Get full text
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638
Economic, Financial and Social Structure in Diyarbakır During the Transition Period of Republican Phase
Published 2013-12-01“…However, the nature of the inherited social structure, financial applications, factors such as industrial and agricultural production factors will be decisive in the struggle to the problem of development in Diyarbakır.…”
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639
Data mining approach in detecting inaccurate financial statements in government-owned enterprises
Published 2025-01-01Subjects: Get full text
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640
Modeling the Dependence of Losses of a Financial Portfolio Using Nested Archimedean Copulas
Published 2021-01-01“…In financial analysis, stochastic models are more and more used to estimate potential outcomes in a risky framework. …”
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