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Your query: Author Sysno/Doc.kind = "^eu_un_cat 0214995 xcla^"
  1. ŠEBO, Ján - DANKOVÁ, Daniela - KRÁLIK, Ivan. In Search of the Optimal Saving Strategy for Pan-European Pension Products. In Financial Assets and Investing. - Brno : Masarykova univerzita v Brně, 2020. ISSN 1804-509X, 2020, vol. 11, no. 2, pp. 54-72.
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  2. ANDRLÍK, Břetislav - ZBOROVSKÁ, Lucie. A Model of Vignette for Motor Vehicles in the Czech Republic. In Financial Assets and Investing. - Brno : Masarykova univerzita v Brně, 2020. ISSN 1804-509X, 2020, vol. 11, no. 1, pp. 5-20.
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  3. KARAHAN, Özcan. Influence of Exchange Rate on the Economic Growth in the Turkish Economy. In Financial Assets and Investing. - Brno : Masarykova univerzita v Brně, 2020. ISSN 1804-509X, 2020, vol. 11, no. 1, pp. 21-34.
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  4. ŁĘT, Blanka. Commonalities in Returns in the Stock Markets of the Visegrad Group: A Quantile Coherency Approach. In Financial Assets and Investing. - Brno : Masarykova univerzita v Brně, 2020. ISSN 1804-509X, 2020, vol. 11, no. 2, pp. 38-53.
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  5. BOROVCOVÁ, Martina - ŠPAČKOVÁ, Adéla. Determination and Verification of the Key Assessment Indicators for the Insurance Market by Applying the Decomposition Multi-attribute Methods and Regression Analysis. In Financial Assets and Investing. - Brno : Masarykova univerzita v Brně, 2019. ISSN 1804-509X, 2019, vol. 10, no. 1, pp. 5-24.
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  6. ŁĘT, Blanka. Oil Prices and Stock Markets in Europe: Detection of Extreme Risk Spillover. In Financial Assets and Investing. - Brno : Masarykova univerzita v Brně, 2019. ISSN 1804-509X, 2019, vol. 10, no. 1, pp. 40-53.
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  7. SVÍTIL, Martin. The New Rules of Capital Adequacy Basel III from the Perspective of Leasing Companies in Europe and Czech Republic. In Financial Assets and Investing. - Brno : Masarykova univerzita v Brně, 2019. ISSN 1804-509X, 2019, vol. 10, no. 2, pp. 21-41.
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  8. PLÍHAL, Tomáš - SPONEROVÁ, Martina - SPONER, Miroslav. Comparative Analysis of Credit Risk Models. In Financial Assets and Investing. - Brno : Masarykova univerzita v Brně, 2018. ISSN 1804-509X, 2018, vol. 9, no. 1, pp. 35-50.
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  9. SEĎA, Petr et al. Empirical Testing of the Response of Czech Stock Market to Downgrades of Greek Credit Rating in the Light of the Efficient Market Hypothesis. In Financial Assets and Investing. - Brno : Masarykova univerzita v Brně, 2018. ISSN 1804-509X, 2018, vol. 9, no. 1, pp. 51-71.
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  10. SIRŮČEK, Martin - VYSTOUPIL, Jan - STREJČEK, Petr. Profitability of Sector Mutual Funds and ETFs During Market Development and Length of Investment Horizon. In Financial Assets and Investing. - Brno : Masarykova univerzita v Brně, 2018. ISSN 1804-509X, 2018, vol. 9, no. 2, s. 42-60.
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