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Synergy of governance, finance, and technology for sustainable natural resource management
Published 2025-03-01“…This study investigates the roles of good governance and innovative financial systems—including digital financial inclusion, green finance, and FinTech—in influencing natural resource management. …”
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SOCCERMETRICS AS A SCIENCE AND AN ACADEMIC DISCIPLINE
Published 2022-05-01“…Soccermetrics examines econometric models in football. Soccermetrics is a synthesis ofstatistics, data analysis, economics, and computer technology. …”
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Transforming ASEAN’s future: how clean energy and innovation can shape environmental progress
Published 2025-12-01“…For sustainable development, financial markets must be expanded to accommodate green financing programs such as green bonds. …”
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Dynamic Integration and Segmentation Among Equity Markets of OECD Countries
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The economics of the performing arts before and during the COVID-19 pandemic. Part 1: cost-output-profit analysis on the example of a performance
Published 2022-04-01“…The article demonstrates the cost-output-profit method possibilities for use by cultural organisations, studies the hypothetical cost recovery possibility from entertainment events, develops practical tools for their financial analytics. Managerial and financial analysis, econometric and graphical construction functions methods have been used. …”
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Determinants in adopting cashless payments in Europe: a multilevel analysis
Published 2025-02-01“…Abstract The use of electronic currency for transactions, denoting a cashless paradigm, has become increasingly common. However, this financial innovation is not prevalent in all countries. …”
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Calibration of the Volatility in Option Pricing Using the Total Variation Regularization
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A Stock Dividend Model Applying the Value Creation Approach in Iran’s Capital Market: The Generalized Method of Moments
Published 2024-06-01“…It should be noted that the model is fitted by using the dynamic econometrics approach of the Generalized Moments Method. …”
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Foreign Direct Investment and Violent Crimes: Evidence from the Iranian Provinces
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Impact of Sanction Shock on Iran's Stock Market Index
Published 2024-06-01“…The imposition of Western economic sanctions against Iran has had varying effects on the country's financial markets, with the capital market being one of the sectors not immune to the shockwaves of these sanctions. …”
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SYSTEMATIC RISK ASSESMENT USING OLS METHOD - THE CASE OF THE CAPITAL MARKET OF BOSNIA AND HERZEGOVINA
Published 2012-05-01“… The Sharpe-Lintner Capital Asset Pricing Model (CAPM) implies a simple linear equation for pricing risky financial assets, individually and in portfolios. CAPM finds that the relevant risk measure of individual financial assets held as a portion of a well-diversified portfolio is not a variance (or a standard deviation) of financial assets, as proposed by the Modern Portfolio Theory, but a contribution of financial assets to the portfolio variance, measured by the financial asset beta. …”
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SYSTEMATIC RISK ASSESMENT USING OLS METHOD - THE CASE OF THE CAPITAL MARKET OF BOSNIA AND HERZEGOVINA
Published 2012-05-01“… The Sharpe-Lintner Capital Asset Pricing Model (CAPM) implies a simple linear equation for pricing risky financial assets, individually and in portfolios. CAPM finds that the relevant risk measure of individual financial assets held as a portion of a well-diversified portfolio is not a variance (or a standard deviation) of financial assets, as proposed by the Modern Portfolio Theory, but a contribution of financial assets to the portfolio variance, measured by the financial asset beta. …”
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Determinants of Short- and Long-Term Commercial Lending Rates in Peru, 2010–2022
Published 2023-12-01“…However, the mixed pension system injects liquidity into the financial system through its private contributions. …”
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Are the environment, social, and government performance affecting the firm’s value?
Published 2024-03-01“…Variable control ROE and ROA have a significant positive influence on fair value. During the financial crisis, ESG performance reduced financial risks; in more normal circumstances, its role grew considerably. …”
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Forecasting Volatility of Stock Index: Deep Learning Model with Likelihood-Based Loss Function
Published 2021-01-01“…Volatility is widely used in different financial areas, and forecasting the volatility of financial assets can be valuable. …”
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Spatio-temporal evolution characteristics and influencing factors of environmental welfare performance in Chinese cities
Published 2025-02-01“…Additionally, the enhancement of EWP in neighboring regions is also notably facilitated by economic development, opening-up, financial development, and digital infrastructure. …”
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Software Design Challenges in Time Series Prediction Systems Using Parallel Implementation of Artificial Neural Networks
Published 2016-01-01“…In the initial days, the problems with financial analysis and prediction were solved by statistical models and methods. …”
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INSTITUTIONAL DETERMINANTS OF NON-PERFORMING LOANS OF DEPOSIT MONEY BANKS IN SUB-SAHARAN AFRICA
Published 2023-11-01“…This study applied System GMM technique with an elaborated econometric method, based on a panel set from 23 Sub-Sahara African countries. …”
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