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Analysis of Revenue Incentive Dynamic Mechanism of Financial Supply Chain from the Perspective of the Internet of Things
Published 2021-01-01“…We innovated new supply chain finance models and operating mechanisms and proposed business scenarios for supply chain finance from the perspective of blockchain. …”
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182
The Lomax-Claim Model: Bivariate Extension and Applications to Financial Data
Published 2021-01-01“…The uses of statistical distributions for modeling real phenomena of nature have received considerable attention in the literature. …”
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183
Estimating the Gerber-Shiu Expected Discounted Penalty Function for Lévy Risk Model
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184
LIQUIDITY TRAP IN THE UNITED STATES, THE EURO AREA AND JAPAN
Published 2020-12-01“…Research methods based on literature studies in macroeconomics and finance, as well as statistical methods, were used in the study. …”
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185
LIQUIDITY TRAP IN THE UNITED STATES, THE EURO AREA AND JAPAN
Published 2020-12-01“…Research methods based on literature studies in macroeconomics and finance, as well as statistical methods, were used in the study. …”
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A New Class of Heavy-Tailed Distributions: Modeling and Simulating Actuarial Measures
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Hybrid metaheuristic artificial neural networks for stock price prediction considering efficient market hypothesis
Published 2023-09-01“…Investigating stock price trends and determining future stock prices have become focal points for researchers within the finance sector. However, predicting stock price trends is a complex task due to the multitude of influencing factors. …”
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195
The development trend of China’s marine economy: a predictive analysis based on industry level
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196
Integration and Fusion of Geologic Hazard Data under Deep Learning and Big Data Analysis Technology
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197
Influential mechanism of green consumption on the realization of ecological products value in China
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198
Presenting the model of portfolio management in investment funds based on behavioral financial variables
Published 2025-03-01“…Financial behavior studies how people behave in determining financial matters. Behavioral finance is a new theoretical branch in finance that is defined by combining the knowledge of psychology, sociology and other social sciences (Meisa Dai et al, 2021). …”
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199
STATE INSTITUTIONS IN THE FIGHT AGAINST THE NEGATIVE EFFECTS OF GAMBLING IN POLAND
Published 2024-12-01“…The latest, previously unpublished statistical data obtained from the Ministry of Finance and the Ministry of Health is also presented.…”
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200
Price Forecasting Through Multivariate Spectral Analysis: Evidence for Commodities of BM&Fbovespa
Published 2016-01-01“…The results obtained in the out-of-sample period, through the use of measurement error and statistical test, confirm this. This research may help market professionals in formulating and implementing policies targeted to the agricultural sector due to the relevance of price forecast as a planning instrument and analysis of the finance market behavior for those who need protection against price fluctuations.…”
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