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221
Presenting the model of portfolio management in investment funds based on behavioral financial variables
Published 2025-03-01“…Even assuming that investors are aware of everything, the fact that they may have to interact in information search processes and that they may have rational limitations has been ignored (Barasud & Zamardian, 2019). …”
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222
Digitalisasi Model Sistem Akuntansi Terintegrasi Bagi Usaha Bersama Simpan Pinjam di Kota Kupang
Published 2024-08-01“…Joint Savings and Loans Business (UBSP) has an important role as an investor, especially for housewives who do not have a fixed income. …”
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223
Development of a comprehensive model to predict stock prices in the stock market with an interpretive structural modeling approach
Published 2024-06-01“…In this study, the fuzzy Delphi method was employed to identify key criteria from the investor’s perspective among the 54 stock price prediction criteria extracted from the existing literature. …”
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224
Portfolio Selection with respect to the Probabilistic Preference in Variable Risk Appetites: A Double-Hierarchy Analysis Method
Published 2021-01-01“…This hierarchy can be utilized to describe investors’ variable risk appetites and ensure the obtained investment ratios meet investors’ immediate risk requirements. …”
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225
Behavioral Biases and Regional Diversity: An In-Depth Analysis of Their Influence on Investment Decisions - A SEM & MICOM Approach
Published 2024-05-01“… The Basic purpose of the study was to understand the impact of behavioral biases on Global Investors investment Decisions and whether there is any significant difference of the impact on investment Decisions of Global investors due to regional diversity. …”
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226
Heterogeneous Expectations and Speculative Behavior in Insurance-Linked Securities
Published 2015-01-01“…We find that, in the fixed volume case, to assure the successful issuance of an ILS, an appropriate volume of the ILS is necessary, and to attract investors, the ILS should pay a positive premium which can help investors to enhance the efficient frontier of their portfolio. …”
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227
Les fonds souverains : un nouveau mode de régulation du capitalisme financier ?
Published 2009-06-01“…Over 2007, their massive cash injections into the banking sectors of industrialised countries could even go as far as having us believe that these investors were acting as saviours of the system. The rise of SWFs could hence be seen, at that time, as a change in financial capitalism in which States would act both as investors and regulators. …”
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228
Prospects of Foreign Capital Raising for Russian Power Grid Companies
Published 2015-02-01“…Privatization thus becomes unreasonable both for the state and prospective investors. At the same time, despite the sector specifics, there are precedents of successful sale of power grid assets to private investors by international peers. …”
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229
Credit Risk Contagion in an Evolving Network Model Integrating Spillover Effects and Behavioral Interventions
Published 2018-01-01“…The model considers the spillover effects of infected investors, behaviors of investors and regulators, emotional disturbance of investors, market noise, and CRT network structure on credit risk contagion. …”
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230
The Dynamic Effect of Public Information on Liquidity: From the Perspective of Limited Attention
Published 2021-01-01“…The heterogeneous behaviors of investors further increase the degree of its complexity. …”
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231
The Moderating Effect of Home Country Corruption on the Host Country’s Ability to Attract FDI
Published 2016-01-01“…We also test whether the investors’ home country corruption affects FDI decisions. …”
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232
Constructing Multiple-Objective Portfolio Selection for Green Innovation and Dominating Green Innovation Indexes
Published 2022-01-01“…Moreover, the screening-indexing strategies ignore that investors can take green innovation as an additional objective and thus gain additional utility. …”
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233
ANALYZING THE NEGATIVE IMPACT OF INSECURITY ON FOREIGN DIRECT INVESTMENT IN NIGERIA
Published 2022-05-01“…Also the risk factor associated with issues of insecurity could scare investors from any potential host country. Hence, this study examined the negative impacts of insecurity on FDI in Nigeria. …”
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234
Multi-period and multi-objective stock portfolio modeling considering cone constraints
Published 2025-03-01“…Nowadays, one of the major concerns of investors is choosing a realistic stock portfolio and making proper decisions according to an individual's utility level. …”
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235
Enhancing Stock Portfolio Selection with Trapezoidal Bipolar Fuzzy VIKOR Technique with Boruta-GA Hybrid Optimization Model: A Multicriteria Decision-Making Approach
Published 2025-01-01“…Abstract The investors’ main objective is to minimize the risks and to get the maximum returns in the random stock market requires them to choose the correct mix of the stocks. …”
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236
The role of top-management in raising international financing
Published 2018-03-01“…There is an emphasis on the role of the company’s top-management in the important stages of the transaction, including preparation, meeting investors, execution and closing. The basic structural elements of financial instruments, including amount, time, investors and governing law are described. …”
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237
The Impact of Geopolitical Risk on Systemic Risk Spillover in Commodity Market: An EMD-Based Network Topology Approach
Published 2021-01-01“…Since the financialization of commodities, portfolio investments have become an important tool for investors to diversify risks. However, due to the nonlinear fluctuations brought about by extreme events, investors face more difficulties in the choice of risk portfolio. …”
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238
Impact of human resource characteristics of internal accounting system on post-earnings announcement drift: Evidence from Korea
Published 2023-12-01“…When companies invest in their internal accounting personnel, investors place greater trust in disclosed earnings information and highly regard a company’s information transparency. …”
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239
Mechanism Analysis of Strategy Choice of Bankruptcy Reorganization Participants under Government Incentive Mechanism
Published 2022-01-01“…This study constructs an evolutionary game model of government, creditors, investors, and enterprises participating in bankruptcy reorganization, analyzes the strategy selection mechanism of the four parties under the government incentive mechanism, systematically analyzes the strategy selection process of each participant, discusses the effectiveness of government incentives in promoting the bankruptcy reorganization process, and finds out the stable point in the replication dynamic system. …”
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240
The Impact of Risk Criteria on the Continuity of Transactions of Companies Listed on the Tehran Stock Exchange, Emphasizing the Effective Role of Risk Management
Published 2023-10-01“…Purpose: Investors usually react to risk, and risk criteria affect their investment decisions. …”
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